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Equities

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Europe

Latin America

Middle East and Africa

North America

RGE Analysis

EconoMonitors

Finance & Markets Monitor

Where’s the Bubble: Stocks or Bonds?

Barry Ritholtz Feb 2, 2010

Europe EconoMonitor

Recovering Markets

Marcus Svedberg Jan 26, 2010

Finance & Markets Monitor

Does Conventional Wisdom Miss the Boat on Banker Bonuses?

Rene Stulz Jan 15, 2010

RGE Analysts' EconoMonitor

RGE's Wednesday Note - The Carry Trade in 2010

RGE Analyst Team Jan 6, 2010

Finance & Markets Monitor

Lost Decade for Stocks

James Hamilton Dec 28, 2009

Finance & Markets Monitor

Pomboy: A Looming New Credit-Bust

Barry Ritholtz Dec 28, 2009

Finance & Markets Monitor

The Asset Allocation Challenge Springs Eternal

James Picerno Dec 22, 2009

Finance & Markets Monitor

As Financials Fade, S&P500 Loses Momentum

Barry Ritholtz Dec 21, 2009

Latin America Economonitor

Whither the Credit and Asset Price Cycle in Latin America?

Javier Guillermo Gomez Pineda Dec 21, 2009

RGE Analysts' EconoMonitor

CoCos: No Antidote to Go-Go Boom-Bust Cycles

Jennifer Kapila and Arnab Das Dec 8, 2009

Finance & Markets Monitor

What is the Rally Telling Us?

Barry Ritholtz Dec 6, 2009

Nouriel Roubini's EconoMonitor

Asset Price Co-Movements and the Dollar Carry Trade

Heiko Hesse Dec 4, 2009

RGE Analysts' EconoMonitor

CNBC Interview with Arnab Das Discussing Dubai, Abu Dhabi, and India

Arnab Das Nov 30, 2009

Global Macro EconoMonitor

Historical Rhymes

James Picerno Nov 30, 2009

US EconoMonitor

The Great Disconnect Between Stocks and Jobs

Robert Reich Nov 18, 2009

Finance & Markets Monitor

A Cheaper Dow 10,000 ?

Barry Ritholtz Nov 15, 2009

Finance & Markets Monitor

Comparing Market Rallies

Barry Ritholtz Nov 13, 2009

Finance & Markets Monitor

Revisiting 2009 Predictions for Equity Markets

Monika Brown Nov 10, 2009

Nouriel Roubini's EconoMonitor

CNBC Interview Discussing Carry Trades and Asset Bubbles

Nouriel Roubini Nov 4, 2009

Global Macro EconoMonitor

Wood Warns of Correction, Says “Key Variable in the West is Government Policy”

Edward Harrison Nov 3, 2009

US EconoMonitor

Uh-Oh: Economists Say Recovery, Market Gains Solid

Barry Ritholtz Nov 2, 2009

Nouriel Roubini's EconoMonitor

Bloomberg's Reporting of my Remarks...

Nouriel Roubini Oct 27, 2009

Finance & Markets Monitor

Jeremy Grantham: The Market is 25% Overvalued; 15% Correction Coming

Edward Harrison Oct 27, 2009

Finance & Markets Monitor

Richard Berstein: Once a Huge Market Bear, Now a Bull

Edward Harrison Oct 25, 2009

Finance & Markets Monitor

Dow 10,000, We Hardly Knew Ya!

Barry Ritholtz Oct 16, 2009

US EconoMonitor

Why the Dow Broke 10,000, and Why You Should Still Watch Your Wallet

Robert Reich Oct 16, 2009

Finance & Markets Monitor

Pay No Attention to the 140 Behind the Curtain!

Rich Hartmann - Miss America Oct 15, 2009

Nouriel Roubini's EconoMonitor

BBC Video Interview

Nouriel Roubini Oct 12, 2009

RGE Analysts' EconoMonitor

CNBC Squawk Box Interviews with RGE's Rachel Ziemba, Jim Rogers and others Discussing China at 60

Rachel Ziemba Oct 7, 2009

Nouriel Roubini's EconoMonitor

My Video Interview with Bloomberg from Turkey

Nouriel Roubini Oct 6, 2009

US EconoMonitor

What Follows Record Setting Dow Quarters?

Barry Ritholtz Oct 2, 2009

US EconoMonitor

Why the Dow is Hitting 10,000 even when Consumers Can't Buy and Business Cries "Socialism"

Robert Reich Sep 23, 2009

US EconoMonitor

Bill Gross: Sell Equities and Buy Treasuries

Edward Harrison Sep 22, 2009

Nouriel Roubini's EconoMonitor

Roubini Video Interview on Forbes.com

Nouriel Roubini Sep 15, 2009

Emerging Markets Monitor

The Shanghai Market Calls the Tune

Michael Pettis Sep 8, 2009

Europe EconoMonitor

Summer Vigour

Marcus Svedberg Sep 4, 2009

Emerging Markets Monitor

Shanghai Cracks

Prieur du Plessis Sep 1, 2009

Finance & Markets Monitor

In this Difficult to Trade Market, You have to be More than Just Right...

Reggie Middleton Aug 26, 2009

Asia EconoMonitor

The China Effect

Rachel Ziemba Aug 26, 2009

Finance & Markets Monitor

The Power & Peril of Recent History

James Picerno Aug 24, 2009

US EconoMonitor

Zombie GM Stock is Proof Humans Are Not Rational

Barry Ritholtz Aug 24, 2009

US EconoMonitor

Getting Bearish Again

Edward Harrison Aug 24, 2009

Global Macro EconoMonitor

Global Stock Markets – Pop ‘N Drop

Prieur du Plessis Aug 19, 2009

US EconoMonitor

June TIC Data: Returning to Risk? Possibly, Definitely Treasuries

Rebecca Wilder Aug 18, 2009

Global Macro EconoMonitor

Ain't Misbehavioral

Emanuel Derman Aug 14, 2009

US EconoMonitor

Bob Farrell’s 10 Rules for Investing

Prieur du Plessis Aug 7, 2009

Daily Digest

News

Shorting of European ETFs doubles

FT Fund Management  Steve Johnson Feb 7, 2010

News

Greek rescue hopes help bourses regain their poise

FT  Jamie Chisholm Feb 9, 2010

Analysis

Percentage of Oversold Stocks At Highest Level Since March 2009

Bespoke Investment Group  Feb 9, 2010

News

Pimco CEO Favors Emerging-Markets Bonds

Wall Street Journal  Enda Curran Feb 8, 2010

News

Wall Street sinks on sovereign debt fears

FT  Samantha Pearson Feb 8, 2010

Analysis

Canadian Equity Market - Q4-2009 Review

SSGA  Chhad Aul Feb 2, 2010

Blogs

Up On Earnings And Down Since

Bespoke Investment Group  Feb 8, 2010

News

Credit Fears Keep a Lid on Stocks

Wall Street Journal  Peter A. Mckay and Kristina Peterson Feb 8, 2010

Blogs

Upgrade Monday Falls To Boost Stocks

The Pragmatic Capitalist  Feb 8, 2010

News

S&P 500 Plunge Fails to Shake Gabelli on Technology

Bloomberg  Lynn Thomasson, Jeff Kearns and Rita Nazareth Feb 8, 2010

News

Emerging Stock Funds Losses Show Repeat of ‘04 Rally

Bloomberg  Michael Patterson Feb 8, 2010

News

Index Funds, Dowdy to Some, Get a Notable Endorsement

New York Times  Paul Sullivan Feb 5, 2010

Analysis

International Transactions in Securities (Jan 2010)

Ministry of Finance  Feb 8, 2010

Blogs

Short-selling bans in the crisis: A misguided policy

VoxEU  Marco Pagano and Alessandro Beber Feb 6, 2010

News

Turkish Stocks Plummet on Global Worry

Hurriyet  Feb 5, 2010

News

Polish Stocks Drop More Than 10% From January Peak; Banks Fall

Bloomberg  Pawel Kozlowski Feb 5, 2010

News

U.S. Stock-Index Futures Fluctuate; CIT, Home Depot Advance

Bloomberg  Daniela Silberstein and Rita Nazareth Feb 8, 2010

Analysis

S&P 500: Four Sectors Down 10% Since 1/19

Bespoke Investment Group  Feb 5, 2010

Blogs

S&P 500 Now 3 Standard Deviations Below 50-DMA

Bespoke Investment Group  Feb 5, 2010

Analysis

Credit Markets Continue To Wave The Warning Flag

The Pragmatic Capitalist  Feb 5, 2010

Analysis

David Rosenberg: S&P 900 Here We Come!

The Pragmatic Capitalist  Feb 5, 2010

News

European Indexes Slammed Again

Wall Street Journal  Neil Shah Feb 5, 2010

News

Risk Aversion Could Yet Reverse

Wall Street Journal  Richard Barley Feb 5, 2010

Analysis

The GCC: End of an Eventful Year (FY2009)

Gulf Baader Captial Markets SAOC  Jan 16, 2010

Analysis

Floating – but plain sailing cannot be guaranteed

FT Lex  Jennifer Hughes Feb 2, 2010

Analysis

Saudi Arabia: Growth Signals

Oxford Business Group  Feb 5, 2010

News

Markets on a high wire

FT Lex  Feb 5, 2010

Analysis

Oman: Recovery Continues

Oxford Business Group  Feb 5, 2010

Analysis

Rumblings of a Rally

Cantos  Chris Watling Feb 5, 2010

Analysis

Chinese IPOs: Quality over quanity?

Financial Times (Lex)  Feb 4, 2010

News

Global Fears Grind Down Stocks

Wall Street Journal  Peter A. Mckay Feb 4, 2010

News

Uribe Vows Calm as Colombia Awaits Referendum Ruling

Bloomberg  Helen Murphy Feb 4, 2010

News

US stocks suffer sharp sell-off

FT  Samantha Pearson Feb 4, 2010

Analysis

Country Stock Market Performance

Bespoke Investment Group  Feb 4, 2010

Analysis

Correction and Bear Market Levels

Bespoke Investment Group  Feb 4, 2010

Analysis

Volatile year ahead for equities

Cantos  Clive Corcoran Feb 4, 2010

News

Stocks Plunge Risk at Highest Since April 1984, Survey Finds

Bloomberg  Craig Trudell Feb 4, 2010

Analysis

Unfinished Business: 2009

SafeHaven  Doug Wakefield and Ben Hill Feb 3, 2010

News

China curbs companies’ capital raising

Financial Times  Jamil Anderlin Feb 3, 2010

News

Europe: Sovereign debt fears rattle investors

Financial Times  Feb 4, 2010

News

Hungary Yields Rise Most in 8 Months, Emerging Stocks Tumble

Bloomberg  Laura Cochrane Feb 4, 2010

News

Denmark’s $75 Billion ATP Fund May Cut Stakes in Danish Shares

Bloomberg  Adam Ewing and Christian Wienberg Feb 4, 2010

Opinions

Bull Market Can’t Last If You Mind the Gap

Bloomberg  Mohamed El-Erian Feb 3, 2010

Analysis

Stock market's real return? Paltry

MSN Money  Anthony Mirhaydari Feb 3, 2010

Analysis

Controlling risk in a lightning-speed trading environment

Federal Reserve Bank of Chicago  Carol L. Clark Feb 3, 2010

Analysis

S&P Indices Market Attributes January 2010

Standards and Poor's  Howard Silverblatt Feb 3, 2010

News

US set for one of best earnings seasons

FT  Michael Mackenzie and Courtney Weaver Feb 2, 2010

News

Indian Consumer Stocks Downgraded at Morgan Stanley

Bloomberg  Shiyin Chen Feb 3, 2010

Analysis

Europe, Middle East, and Africa Markets Outlook 2010

Standard & Poor's  Jan 1, 2010

News

El-Erian Says Retreat in Stocks Will Worsen as Economy Slumps

Bloomberg  Lynn Thomasson Feb 3, 2010

Analysis

Stock Performance on Earnings Reports by Sector

Bespoke Investment Group  Feb 2, 2010

Analysis

Revenue Beat Rate This Earnings Season

Bespoke Investment Group  Feb 2, 2010

Analysis

Equity market bull-run is far from over

FT  Nick Nelson Feb 1, 2010

News

Brighter Home Market Boosts Stocks

Wall Street Journal  Peter A. Mckay Feb 2, 2010

News

Sberbank scandal reflects badly on Russia

Telegraph  Jason Bush Feb 2, 2010

Analysis

The Best Approach To 2010: The Opposite Of 2009?

Pragmatic Capitalist  Feb 2, 2010

Analysis

Predictions For 2010

IndexUniverse  J.D. Steinhilber Jan 7, 2010

Analysis

Russia: IPO pipeline expanding; pressure on the secondary market possible in 2010

Emerging Markets.ME  Mark Robinson Jan 27, 2010

Analysis

Saudi Strategy 2010: Position for Outperformance

NCB Capital  Eiji Aono Feb 2, 2010

Analysis

Tightening fears bring China buy opportunities

Financial Times  Richard Wong Feb 1, 2010

Analysis

Advance of the index trackers

FT Fund Management  Pauline Skypala Feb 1, 2010

Analysis

January Barometer Portfolio

The Kirk Report  Feb 1, 2010

News

Turkish Stock Rally Depends on IMF Loan, Ratings, Fortis Says

Bloomberg  Ercan Ersoy and Seda Sezer Feb 1, 2010

Blogs

NYSE Stocks (%) Over 50 Day Moving Average

The Big Picture  Barry Ritholtz Feb 1, 2010

Blogs

Average Monthly Performance of the Dow

Bespoke Investment Group  Feb 1, 2010

News

Bull Market Is Showing Its Age

Wall Street Journal  Feb 1, 2010

Analysis

Reported Earnings versus "Owner Earnings"

Hussman Funds  John Hussman Feb 1, 2010

Analysis

A New Landscape Creates Opportunity

Alliance Bernstein  Feb 1, 2010

Analysis

ETF Q&A: The good the bad and the synthetic

FT Fund Management  Sophia Grene Jan 31, 2010

News

Emerging-Market Stocks Fall 10% From Peak on China Rate Concern

Bloomberg  Michael Patterson and Shiyin Chen Feb 1, 2010

Analysis

Individual Investor Sentiment Remains Neutral

Pragmatic Capitalist  Feb 1, 2010

Analysis

How Is The Dow Performing In Terms Of Real Money?

Pragmatic Capitalist  Feb 1, 2010

News

Stocks Poised to Rise

Wall Street Journal  Steve Goldstein Feb 1, 2010

Analysis

Reported Earnings versus

Hussman Funds  Ph.D and John P. Hussman Feb 1, 2010

News

Baltic Stocks, Best 2010 Gainers, Have Further to Rally on Euro

Bloomberg  Aaron Eglitis and Ott Ummelas Feb 1, 2010

Analysis

Recovering Markets

Europe EconoMonitor  Marcus Svedberg Jan 26, 2010

News

U.S. stocks stumbling into February

Market Watch  Matt Andrejczak Jan 30, 2010

News

Jadwa funds fly high after turbulence

Financial Times  Robin Wigglesworth Jan 27, 2010

Analysis

What Is Getting Hit Hardest?

Bespoke Investment Group  Feb 1, 2010

Analysis

Sector Earnings Beat Rate and Stock Performace

Bespoke Investment Group  Jan 29, 2010

Analysis

Dow Breaks Another Support Level

Bespoke Investment Group  Jan 29, 2010

Analysis

Ruseell: Here Comes The “Second Round Of Pain”

Pragmatic Capitalist  Jan 29, 2010

Analysis

JP Morgan: Downturn Will Be A Buying Opportunity

Pragmatic Capitalist  Jan 29, 2010

Analysis

3 Reasons The S&P Has Peaked For The Year

Pragmatic Capitalist  Jan 29, 2010

News

Stock Futures Rise on Strong GDP

Wall Street Journal  Donna Kardos Yesalavich Jan 29, 2010

News

January Proves Tough for Stocks

Wall Street Journal  Peter A. Mckay Jan 28, 2010

News

Turkey in Sweet Spot and Tipped to Outperform

Citywire  James Phillipps Jan 28, 2010

News

Turkey is a Tempting Target for Private Equity Investors

Financial Times  Selcuk Yorgancioglu Jan 28, 2010