LPL Research explores how the U.S. debt surpassing $40 trillion could impact investor portfolios.
Macro Market Movers
Gold’s Correction Gives Way to Renewed Momentum
LPL Research examines the latest developments in gold and why the precious metal’s corrective phase may be over.
Weekly Market Performance | August 21, 2026
LPL’s Weekly Market Performance for the week of August 17, 2026, highlights bond market volatility, dented global risk appetite, and commodity market moves.
Why Investors Remain Constructive Despite Economic Headwinds
This article describes how Treasury Demand, Financial Conditions, and Inflation are supporting investor risk appetite.
Why the 2026 Russell Rebalance Matters
LPL Research explores how the 2026 Russell reconstitution revealed a surprising shift: AI didn’t just drive returns. It changed the structure of major equity benchmarks.