This Week in Review by Fisher Investments
The economy and markets can feel ever changing. Fisher Investments’ “This Week in Review” is a weekly segment designed to highlight a few things you may have missed last week, what they could mean for financial markets and why they matter to investors like you.
Fisher Investments Reviews the Week: May 8th
This week, we cover:
• Strong Q1 earnings
• US national debt concerns
• April employment data
Fisher Investments Reviews the Week: May 1st
This week, we cover:
• April market recap
• The United Arab Emirates’ (UAE) withdrawal from OPEC
• The latest US and eurozone GDP figures
Fisher Investments Reviews the Week: April 24th
This week, we cover:
• An update on the Iran-US conflict negotiations
• Senate confirmation hearing for Fed chair nominee
• Stocks recover from recent pullback to set new all-time highs
Fisher Investments Reviews the Week: April 17th
This week, we cover:
• Iran conflict ceasefire negotiations
• Canada’s byelection
• UK economic update
Fisher Investments Reviews the Week: April 10th
This week, we cover:
• Updates on the Middle East conflict
• Recent US inflation data
• Market Trends: Liberation Day Tariffs
Fisher Investments Reviews the Week: April 3rd
This week, we cover:
• A busy first quarter for global stocks
• Recent earnings guidance
• Global election headlines
Fisher Investments Reviews the Week: March 27th
This week, we cover:
• The Middle East conflict and ongoing market volatility
• March flash PMI readings
• Gold’s recent sell-off
