As widely expected, the Fed paused its hiking campaign in June, However, according to the Fed’s Dot Plot projections, the interest rates may potentially reach as high as 5.6% before […]
The Defensive Nature of Dividend Investing: A Strategy for Uncertain Times (Part 2.0) During times of weak market conditions, investors encounter challenges in remaining invested. Taking Malaysia market as example, […]
Global markets traded mixed in May as investors watched for signs of progress in the US debt ceiling negotiations ahead of the June 1 deadline. To recall, the debt ceiling […]
According to a recent report by MSCI Inc., the percentage of public companies disclosing Scope 3 emissions has risen to 35%, a 5% increase since October last year. Additionally, almost […]
Equities and bonds are commonly favoured by many investors, while commodities are often overlooked as an investment option. This may be due to various reasons, including a lack of understanding […]
Although the world economy is expected to face a challenging year with global growth decelerating and inflation remaining high and the ongoing war in Ukraine, and banking strains in the […]
Fixed income markets experienced a sharp selloff in 2022, but this has led to improved yields and valuations. As attention shifts from inflation to slowing growth and the potential for […]
The recent upheaval in the global banking industry has triggered a new black swan to global growth outlook. As a result, the International Monetary Fund (IMF) has lowered its previous […]
What is Quality Investing? Investors who advocate a quality approach to investing prefer high-quality companies that generate free cash flow and a reasonable return on equity. Aside from that, investors […]
Large-cap stocks are stocks of established, well-known companies with high market capitalisation. These companies have a proven business model, a stable earnings outlook, and a long operating history. They typically […]