Federal Reserve - Page 2
153 articlesRetirement Savings Shortfall: 30% of Americans in Their 50s Face a Future Without a Nest Egg
Nearly 30% of U.S. households in their 50s have no retirement account or pension, leaving many at risk of relying solely on Social Security and facing tough choices as retirement approaches.
Rising Bond Yields Hit Governments, Companies, and U.S. Borrowers
A global surge in bond yields is driving up borrowing costs for governments, businesses, and households, with ripple effects on public budgets, corporate growth, and consumer debt across the U.S. and beyond
Bessent's Oil Price Pledges Lose Sway as Gasoline Hits $4.10
Despite repeated assurances from Treasury Secretary Scott Bessent that oil prices would fall, U.S. crude and gasoline costs have surged to multi-year highs, leaving American households facing sharply higher fuel bills and markets discounting official forecasts.
Rising Bond Yields Threaten Borrowers as War Drives Up Costs
U.S. Treasury yields have surged to multi-year highs as war spending and energy shocks push up inflation, raising borrowing costs for households, businesses, and the government.
Fed's Inflation Warning Backfires as Bond Yields Surge
Long-term U.S. borrowing costs hit new highs after Fed chair Kevin Warsh's pledge to fight inflation, raising questions about market confidence and the real impact of central bank messaging
Gold's $58 Million Options Play Redefines the Ceiling for Bullish Bets
A record $58 million GLD call spread is reshaping gold's rally, as sophisticated traders cap upside exposure amid Treasury buyback plans and looming Fed rate hikes. The move highlights how structure, not just direction, is driving profits in volatile markets.
Fed Chair Kevin Warsh's Jackson Hole Speech Spurs Surge in September Rate Hike Probability
After Kevin Warsh's Jackson Hole remarks, the odds of a September Fed rate hike jumped to 60%, raising questions about how persistent inflation and higher borrowing costs could impact stocks, lending, and the broader U.S. economy
Fed Rate Hike Odds Jump to 60% After Warsh's Hawkish Jackson Hole Pivot
A sharp shift in Federal Reserve policy signals has pushed the odds of a September rate hike to nearly 60%, intensifying pressure on borrowers and investors as inflation remains stubbornly above target.
Goldman Sachs: Hormuz Oil Flows Ease Price Risks, Gas Still Exposed
Oil prices have retreated as crude shipments through the Strait of Hormuz recover, but Goldman Sachs warns that gas and refined fuels remain at risk, with direct implications for U.S. inflation and economic growth.
Morgan Stanley: U.S. Households Stay Strong Despite Record National Debt
Morgan Stanley reports that, even as U.S. national debt exceeds $40 trillion and federal interest costs rise, most American households and businesses remain financially stable, with private sector leverage at manageable levels.
Nasdaq Sinks as U.S.-Iran Clash Drives Oil and Inflation Fears
A sudden U.S. strike on Iranian targets near the Strait of Hormuz sent oil prices surging and triggered a sharp selloff in tech stocks, intensifying inflation risks for American households as the Federal Reserve signals a possible rate hike.
September Is Usually a Rough Month for Stocks, but Long-Term Investors Should Ignore the Noise
September has historically been the only month when the S&P 500 averages a decline, but for investors with a long-term focus, these seasonal dips may offer a chance to buy quality stocks at lower prices rather than a reason to sell
Fed Chair Warsh's Jackson Hole Speech Could Shake Bond Markets
With Treasury yields climbing and deficits at record highs, investors await Kevin Warsh's Jackson Hole debut for clues on inflation, rate policy, and the risk of tighter financial conditions.
S&P 500 Gains as Fed Chair Warsh Stresses Inflation Risks
U.S. stocks rose after Fed Chair Kevin Warsh highlighted economic strength but warned inflation remains above target, signaling that monetary policy could tighten further if price pressures persist.
The Bond Market Is Sending an Unmistakable Message to Fed Chair Kevin Warsh and the FOMC: Act!
Long-term Treasury yields have climbed to levels not seen since 2007, rattling both stock and bond markets and raising questions about whether investors should adjust their portfolios or stay the course
Why the PCE Inflation of 3.7% Means Little
July's PCE inflation held at 3.7%, but personal income outpaced spending, signaling a shift in consumer behavior that could pressure inflation lower and reshape stock market valuations in the months ahead
Fed Chair Kevin Warsh Faces Pressure as Bond Yields Soar Amid Trumpflation
Rising Treasury yields and persistent inflation are testing Fed Chair Kevin Warsh's early reforms, as the bond market signals that federal deficits and policy inaction may be unsustainable for investors and borrowers
Kevin Warsh's Appointment as Fed Chairman Signals Less Guidance for Markets
With Kevin Warsh taking over as Federal Reserve Chairman, investors face a new era of minimal Fed communication, forcing Wall Street to interpret policy shifts without the detailed guidance that once shaped risk-taking and rate expectations
Fed Faces Policy Dilemma as U.S. Debt Tops $40 Trillion
The U.S. national debt has surpassed $40 trillion, intensifying focus on the Federal Reserve's rate decisions as policymakers weigh inflation control against rising government borrowing costs.
Why the Fed's Inflation Target Is No Longer Soft
The Federal Reserve is signaling a return to a strict 2% inflation target, raising the stakes for upcoming inflation data and increasing the likelihood of another rate hike if price growth fails to slow meaningfully
Core Inflation Rises 3.3% as Fed Faces Persistent Price Pressures
The Federal Reserve's preferred inflation gauge showed core prices up 3.3% year-over-year in July, matching forecasts but keeping inflation well above the central bank's 2% target as policymakers weigh their next move
Morgan Stanley: Oil Price Surge Emerges as Top Threat to U.S. Equities
Morgan Stanley warns that a sharp rise in oil prices is the most immediate risk to U.S. stocks, with significant implications for inflation, Treasury yields, and Federal Reserve policy.
Dow Futures Drop as Iran Sanctions and Tariff Tensions Weigh on Markets
U.S. stock futures fell Monday as investors reacted to new Iran sanctions, unresolved U.S.-Canada trade talks, and upcoming earnings from Nvidia and other tech leaders, while watching for signals from the Federal Reserve's Jackson Hole meeting
How to Tell If the Stock Market Is in a Bubble
Key valuation metrics like the Buffett indicator and Shiller CAPE ratio suggest U.S. stocks are highly priced, but history shows bubbles can persist for years. Investors weighing defensive sectors may want to consider past crash performance
Treasury Buyback Move Signals Rising Pressure on U.S. Debt Costs
A surprise decision to double long-term Treasury bond buybacks sent yields lower, but also highlighted the growing strain of federal borrowing and the risks facing investors, homeowners, and the broader economy as rates stay elevated
Why Treasury Yields Are Surging?
With just 29% of U.S. workers covered by traditional pensions and a sharp divide between public and private sector benefits, the shift to 401(k)s is reshaping retirement security and placing more risk on individuals
Stocks Dip as Treasury Buybacks Shift Yields and Crypto Surges
U.S. stocks slipped after the Treasury Department announced a major increase in long-term bond repurchases, sending yields higher and sparking a sharp rally in Bitcoin and other cryptocurrencies
FOMC Minutes Show Inflation Concerns, But Rate Hikes Unlikely in 2026
Federal Reserve officials remain wary of inflation risks, but recent declines in consumer prices and weak job growth have shifted market expectations toward steady interest rates through late 2026
Treasury Buyback Expansion Sends Yields Down, Boosts Biotech Stocks
U.S. stocks climbed as the Treasury Department announced a major increase in debt buybacks, easing pressure on bond yields. Investors weighed the move alongside global rate concerns and shifting geopolitical headlines
Gold Retreats After Two-Month High as Fed and Oil Pressure Mount
Gold prices slipped after a sharp rally, as investors reacted to a U.S. Treasury liquidity move, rising oil prices, and renewed signals that the Federal Reserve may keep rates higher for longer
Ultra-Short Bond ETFs Challenge the Case for Holding Cash
Money market yields are falling as the Fed cuts rates, but ultra-short bond ETFs are attracting billions in new inflows. Investors now face a trade-off between lower cash returns and the risks of short-term bond funds
How Much Gen X May Need Saved for Retirement
Roughly 40% of Gen X households have no retirement savings, and those with accounts often fall short of industry benchmarks, raising questions about how this generation will fund retirement as pensions disappear
July Jobs and Inflation Reports Ease Pressure on Fed Rate Hikes, Boosting Stock Market Optimism
Weaker July job growth and a slight cooling in inflation have sharply reduced the odds of a near-term Fed rate hike, fueling gains in rate-sensitive stocks but leaving investors wary of future policy shifts and global risks
Bank of America Spots Spending Shift as Two-Speed Economy Narrows
Bank of America's latest data shows household spending growth converging across income groups, challenging the K-shaped recovery narrative and raising new questions about the durability of recent gains for lower-income Americans
Gold's 2026 Volatility Raises New Questions for Investors
Gold prices have seesawed between record highs and sharp declines in 2026, leaving investors to weigh shifting Fed policy, central bank demand, and the risks of chasing the next rally as market signals remain mixed
AI Infrastructure Stocks Regain Momentum After Sharp Summer Selloff
After a volatile summer for AI chip and data center stocks, Jim Cramer highlights six companies leading a renewed rally. Investors face new risks as these names rebound, outpacing the S&P 500 in 2026
Weak Consumer Data Pushes Market Indexes Lower
U.S. retail sales unexpectedly fell in July and consumer sentiment slumped in August, raising concerns about household spending as chip stocks dragged major indexes lower despite the S&P 500 and Nasdaq eyeing a third straight weekly gain
How to Prepare for a Possible Stock Market Crash
With the S&P 500 up 14% so far in 2026, investors face rising anxiety over high valuations, persistent inflation, and AI-driven uncertainty-prompting many to build cash reserves in case a market downturn creates new buying opportunities
Kevin O'Leary Warns Wall Street Gains Leave Main Street Behind
Corporate profits are soaring, but many U.S. households are still struggling with high prices, rising debt, and persistent inflation. Kevin O'Leary highlights the growing disconnect between strong market earnings and everyday financial stress
July Inflation Slows as AI Chip Stocks Surge
U.S. inflation edged up just 0.1% in July, easing to 3.4% year over year, while memory chip stocks like Micron Technology and SK Hynix soared on renewed AI demand forecasts, shifting market expectations for Fed rate moves
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