Steven Mnuchin Warns of Inflation Risk, 3.5% Treasury Yields
2 “Strong Buy” Stocks With at Least 7% Dividend Yield
September is behind us, fall is here, and we’re well into the swing of Q4. Later this month, we’ll get a better picture of market conditions when the Q3 earnings start coming out. In the meantime, however, there’s some cause for caution in the air. David Kostin, chief US equity strategist for Goldman Sachs, lays out the reasons for that caution in a list of risks that are putting some headwinds into play. First, he sees the continuing supply chain bottlenecks; second are rising oil prices, a sig
What's your reaction?