Asset Management

What Record Highs Might Be Hiding

The S&P 500® sits near record highs, but weak market breadth, sticky inflation, and rising yields suggest a more complicated story beneath the surface.
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    This episode focuses on what rising interest rates are really signaling, why stock market strength may be masking weakness beneath the surface, and how investors should think about bond allocations in a higher-for-longer rate environment.

    Liz Ann Sonders argues that the relationship between stocks and bonds has fundamentally changed from the "Great Moderation" era. Rather than rising bond yields reflecting stronger growth and supporting stocks, today's environment looks more like an earlier inflation-driven period where higher yields can put pressure on equity valuations. Despite the S&P 500 sitting near record highs, she notes that market leadership remains highly concentrated in a small group of mega-cap technology stocks. Beneath the surface, market breadth has deteriorated significantly, with relatively few stocks making new highs and many experiencing bear market-like drawdowns. Her takeaway for investors is to avoid becoming overly concentrated, maintaining long-term time horizons, and recognize that headline index performance tells only part of the story.

    Collin explains that the recent rise in Treasury yields has been relatively orderly and is not primarily being driven by a surge in the term premium or investor fears about Treasury demand. Instead, yields are reflecting a resilient economy, sticky inflation, and expectations for additional Federal Reserve tightening.

    Finally, Collin and Liz Ann look ahead to next week's upcoming macroeconomic indicators and key data releases.

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