Wall Street witnessed a mixed Q4 due to moderation in inflationary pressures, an expected slowdown in the pace of Fed rate hikes and ongoing geopolitical tensions in Russia and Ukraine.
These yield-producing stock and bond funds are all down less than the S&P 500 this year.
Wall Street witnessed a massacre in Q2 due to mounting inflationary pressures, rising rate worries and geopolitical tensions in Russia and Ukraine.
Stocks are on track to the worst start to a first-half since 1970.
The S&P 500 ETFs amassed huge assets in ill--famous May.
Bond ETF Investing in a Rising-Rate Environment.
Wall Street witnessed a massacre in April due to mounting inflationary pressures, rising rate worries and geopolitical tensions in Russia and Ukraine.