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Russell Investments is a leading global investment solutions firm with $276.5 billion in assets under management (as of 12/31/2022) and $1.0 trillion in assets under advisement (as of 12/31/2022). The firm provides a wide range of investment capabilities to institutional investors, financial ...more

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The U.S.-North Korea Showdown: Are Financial Markets Spooked?
In this video we discuss how markets are reacting to increasing tensions between the U.S. and North Korea, German industrial production as well as U.S. July inflation data and what the numbers tell us.
U.S. July Jobs Report, The Dow And Q2 Earnings
The Fed is still unlikely to hike the federal fund's rate through the rest of 2017—unless there are a couple of additional strong employment reports in the months ahead.
Trumpcare Defeated, Tax Reform On The Horizon: How Might Financial Markets React?
In this video we discuss how financial markets might react to the end of Congressional action on U.S. health care reform and could tax reform be next on the agenda.
Quantitative Easing In The Eurozone: What’s Next?
Draghi’s comments this week illustrate that he’s proud of the economic recovery in Europe—but is aware that it’s still dependent on the bank’s current QE policy, Ng said.
What’s Ahead For Financial Markets After U.S. Fed Chair Janet Yellen’s Testimony?
In this episode of Market Week in Review, Rob Cittadini, regional director, consultant relations, chatted with Mark Eibel, director, client investment strategies, on U.S. Federal Reserve Chair Janet Yellen’s comments to the U.S. Congress this week.
Key Takeaways From The U.S. June Jobs Report
Erik Ristuben discussed with Todd LaFountaine the U.S. jobs report for the month of June, which was released by the Bureau of Labor Statistics today.
Global Market Outlook 2017 Mid-Year Update: Late-Cycle Lean Out
The shift from positive to negative economic surprise triggered a 45-basis point decline in the 10-year Treasury yield and a 5% fall in the U.S. dollar index.
Financial Markets React To ECB President Mario Draghi’s Speech
How did the markets react to ECB President Mario Draghi’s speech and is a September taper looming for Europe? We discuss what investors should focus on in the second half of 2017.
The Week's Top Stories: Healthcare Bill, PMI, Oil Prices
What does the U.S. Senate’s draft healthcare bill mean for potential tax reform?
The Fed Raises Interest Rates: Are They Done For The Year?
Market week in review: the June Fed interest rate increase; what the Fed’s plan for winding down their balance sheet might be; what the news from China means for emerging markets.
U.K. Elections Results: What Do They Mean For Investors?
The European Central Bank indicates a steady course.
U.S. Jobs Numbers Way Down: What Does That Mean For The Fed?
U.S. jobs numbers for May fall short. Is a June rate hike by the U.S. Federal Reserve (Fed) less likely? Where should investors focus? U.S. or Europe?
Flash PMI, The Fed, And Record Highs In U.S. Equity Markets
The Fed’s meeting minutes point toward a June rate hike. The S&P 500 had a record week. Why’d it happen and what’s it mean?
Why Do U.S. Equity Markets Care About The Firing Of An FBI Director?
When volatility is very low, it can be a sign of investor complacency and can create challenges around investor sentiment.
What Do First Quarter Earnings Tell Us About Global Equity Markets?
What do first quarter earnings tell us about global equities? Does the French presidential win by Macron create more eurozone upside?
Are Markets Concerned With The French Election?
Discussing Eurozone markets, the potential for a June rate hike from the Fed, and the impact of Puerto Rico's debt default.
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