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Global economic activity has slowed

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Global monetary policy in action

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The Fed has begun reducing its balance sheet

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Inflation across regions rose during rebound

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Where are we today?

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Fed’s patience tested by inflation

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Insights from U.S. leading indicators

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U.S. GDP strength may fade into the second half of 2022

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The U.S. job market remains tight

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On average, the U.S. consumer balance sheet is in good shape

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Changing consumer behavior

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U.S. housing market has a supply problem

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Services industries sensitive to economic fluctuations

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As job market tightens, wages rise

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Confidence at a turning point

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Volatility is above pre-pandemic levels

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Market resilience

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Equity risk premium above historical averages

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U.S. equities can weather initial Fed tightening

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Emerging market recovery stalled

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International equities versus the U.S. dollar

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Trade impacts on developed market equities

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Yield curve may be signaling a slowdown ahead

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Municipal bond yields and default rates

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Real yields have declined as inflation rises

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The Fed in action — How do tightening cycles work?

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Falling peaks in rates — the Fed has tended to overshoot

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Higher duration increases interest rate sensitivity

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Credit market spreads

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Closing the gap?

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How does the current bull stack up?

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China is the big commodity consumer

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All that glitters…

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Global oil supply growth is lagging demand

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A tipping point for green energy

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Are renewables overtaking fossil fuels?

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Relative Value strategies could serve as a fixed-income alternative

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Has a new regime for Macro trading begun?

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Downgrades and defaults have moderated for now

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Opportunities in Private Equity, part I

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Dollar firmness expected to persist in 2022

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Dollar extends gains in the second quarter

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The euro and equity returns

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Emerging market currencies mirror the U.S. dollar

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Taking taxes into consideration can add value

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Behavioral biases could be costly

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Asset values have grown over time

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Short-term stocks and bond yield correlations

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