Investors may be underestimating Trump's potential push for fiscal discipline, making long-term bonds and rate-sensitive sectors attractive bets.
Yet, Michael Hartnett, chief investment strategist at Bank of America, says the party may not last forever. According to Hartnett’s latest Flow Show report, published Friday, the U.S. equity ...
Global Stocks Since 1997: Bank Of America Warns Of 2005 Rotation S&P 500 Faces Volatile 2025 As 'Inflation Boom' Could Return: Bank Of America Strategist Wall Street Shifts To 'Bossing The Fed ...
US stocks are “protected by Trump” from downside, strategist Michael Hartnett wrote in a note, although he doesn’t expect sharp gains either due to risks including high concentration in mega-cap ...
Bank of America Corp.’s Michael Hartnett has raised an alarm about the US financial market ... maintaining a pessimistic stance in 2023, the strategist chose a more neutral stance toward ...
Bank of America's Michael Hartnett warned. Equities are in a "late secular bull market" that likely "ends with [a] bubble and/or recession," the bank's chief investment strategist wrote in a ...
Put simply, the data "shows super-bullish sentiment," investment strategist Michael Hartnett wrote to clients ... people who hold titles including chief investment officer and portfolio manager ...