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: January 23rd
For this week, we cover:
• Tariff tensions return as President Trump pursues Greenland purchase
• What a weakening US dollar means for stocks
• China’s GDP deceleration continues in Q4
Fisher Investments Reviews the Week: January 16th
For this week, we cover:
• Fed Independence
• US Inflation
• Q4 Bank Earnings
Fisher Investments Reviews the Week: January 9th
For this week, we cover:
• US-Venezuela
• US Jobs Data
• Consumer Sentiment
Fisher Investments Reviews the Week: January 2nd
For this week, we cover:
• 2025 stock market recap
• Recent trends in silver prices
Fisher Investments Reviews the Week: December 26th
For this week, we cover:
• US Q3 GDP
• Canada Economic Update
• The Global Utilities sector
Fisher Investments Reviews the Week: December 19th
For this week, we cover:
• The latest US jobs data
• ECB and BOE policy decisions
• US Inflation
Fisher Investments Reviews the Week: December 12th
For this week, we cover:
• The Fed’s December rate cut
• China’s trade surplus milestone
• The effects of “reshoring” on US manufacturing
Fisher Investments Reviews the Week: December 5, 2025
For this week, we cover:
• Recent volatility in Bitcoin prices
• An update on global inflation data
• A new commercial real estate trend
Fisher Investments Reviews the Week: November 28th
For this week, we cover:
• A November market recap
• The potential market implications of a Ukraine-Russia peace agreement
• November Flash PMIs
