January 20, 2026

Gold and Silver: Current Portfolio Perspectives

January 5, 2026

Special Update: Venezuela, Oil, and the Impact on Portfolios

December 31, 2025

2025 Year in Review: A Historic Market Year for Investors

December 15, 2025

The Future of the Fed: New Leadership and Rate Cuts

December 8, 2025

2026 Outlook: 7 Key Themes for Long-Term Investors

December 1, 2025

Monthly Market Update for November: Volatility Amid AI and Fed Uncertainty

November 10, 2025

Risk Management Amid Credit Concerns

November 3, 2025

Monthly Market Update for October

October 27, 2025

Retirement Planning: Social Security COLA and Portfolio Considerations

October 20, 2025

Perspectives on the Gold Rally and Dollar Debasement

October 13, 2025

Trade War with China: The Latest Tariff Tantrum and Market Volatility

October 6, 2025

Are Investors Holding Too Much Cash?

October 1, 2025

Quarterly Market Update for Q4: Navigating Conflicting Signals

September 29, 2025

How Government Shutdowns Affect Markets and the Economy

September 22, 2025

How to Navigate Fears of a Market Bubble

September 17, 2025

Special Update: What the Fed Rate Cut Means for Long-Term Investors

September 15, 2025

The Role of Dividends as the Fed Cuts Rates

September 2, 2025

Monthly Market Update for August: Markets Climb on Fed Expectations and Earnings Growth

August 25, 2025

Fed Rate Cuts: What Is the Bond Market Signaling to Investors?

August 18, 2025

How Investors Can Keep Up with Inflation

August 11, 2025

The Magnificent 7, AI, and Concentration Risk

August 3, 2025

How Reliable is Government Data? Creating a Balanced Economic Picture

August 1, 2025

Monthly Market Update for July: Market All-Time Highs Amid a Noisy Period

July 28, 2025

What Corporate Earnings Reveal About Tariffs

July 21, 2025

The Fed and Politics: What Investors Should Know

July 14, 2025

Bitcoin, Copper, Gold, and Silver: A Portfolio Perspective

July 7, 2025

What the “One Big Beautiful Bill” Means for Investors

July 1, 2025

Quarterly Market Update for Q2 2025: Tariffs, Geopolitics, and All- Time Highs

June 30, 2025

New Market All-Time Highs: How Investors Can Stay Balanced

June 23, 2025

5 Key Investor Insights for the Second Half of 2025

June 16, 2025

The Middle East Conflict: How Wars Impact Investors

June 13, 2025

Q&A: How will geopolitical risk between Israel and Iran affect markets?

June 9, 2025

How a Weakening Dollar Affects Long-Term Investors

June 2, 2025

Monthly Market Update for May 2025: A Positive Month Despite U.S. Debt Downgrade

May 27, 2025

Beyond the S&P 500: Why Diversification Remains So Important

May 19, 2025

What Debt, Deficits, and the Moody’s Downgrade Mean for Investors

May 12, 2025

Special Update What U.S.-China Trade Progress Means for Investors

May 1, 2025

Monthly Market Update for April 2025 | Lessons After a Historic Month

April 28, 2025

Understanding Consumer Debt in a Two-Speed Economy