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LPL Research

Weekly Market Performance — March 21, 2025

LPL’s Weekly Market Performance for the week of March 17, 2025, highlights the March Fed meeting, international headlines, and bond market moves.

Key Takeaways From a Sector Valuation Review

LPL Research assesses S&P 500 sector valuations measured by forward price-to-earnings ratios and shares some insights the metrics provide.

U.S. Tax Competitiveness Has Room for Improvement

LPL Research examines the tax competitiveness of the United States and its impact on growth.

Credit Spreads: Recession Indicator or Market Correction?

LPL Research examines the recent widening in credit spreads and evaluates how current levels align with historical trends and past recessions.

Weekly Market Performance — March 14, 2025

LPL’s Weekly Market Performance for the week of March 10, 2025, highlights the latest trade developments, international headlines, and bond market moves.

Checking Under the Hood on King Dollar

LPL Research examines major catalysts for the dollar during the start of the year and the latest bout of volatility.

Invest in the Long Term

LPL Research examines current volatility and why investors should look to stay in the market.

Equity Markets Grapple with Tariffs

LPL Research provides perspective on the latest bout of market volatility.

Letter From the CIO: Market Volatility

LPL Research’s Chief Investment Officer, Marc Zabicki, discusses factors driving recent market volatility and why staying disciplined and focused is crucial.

Weekly Market Performance — March 7, 2025

LPL’s Weekly Market Performance for the week of March 3, 2025, highlights the latest tariff headlines, international developments, and global bond market moves.