Indicators are pointing to an easing of inflation, but there are plenty of economic concerns to work through before the markets can truly move out of bear territory.
International markets continue to outperform U.S. markets, but not without obvious concerns. How do you weigh the risk-reward ratio when adding foreign stocks to your portfolio?
The flood of economic data can be overwhelming, confusing, and often contradictory. So what data is the Fed tracking as it battles inflation and considers rate cuts?