Weekly Market Commentary | Warsh Fed Regime: Policy Shifts & Treasury Market Impacts | May 11, 2026

LPL Research explores how a potential Warsh-led Fed could reshape policy, Treasury markets, and volatility amid rising deficits and shifting demand.
Weekly Market Commentary | AI-Driven Growth Fuels Strong Technology Earnings | May 04, 2026

LPL Research examines overlooked tech growth, assessing strong earnings, AI skepticism, and valuation opportunities for investors.
Weekly Market Commentary | Is the American Industrial Renaissance Real | April 27, 2026

LPL Research assesses the case for an American Industrial Renaissance, focusing on manufacturing investment, supply‑chain resilience, and energy costs.
Weekly Market Commentary | Economic Resilience Amid Market Volatility Shocks | April 13, 2026

LPL Research reviews inflation, growth, and global financial conditions, showing why the economy continues to withstand multiple shocks.
Weekly Market Performance | April 10, 2026

LPL’s Weekly Market Performance for the week of April 6, 2026, highlights geopolitical developments, commodity market moves, and economic calendar highlights.
Weekly Market Commentary | Lessons from Past Conflicts and the Stock Market | April 06, 2026

LPL Research looks to the past for lessons on geopolitical uncertainty and its potential impact on equities.
Weekly Market Commentary | Earnings Season Outlook: Will Markets Care? | March 30, 2026

LPL Research explains why solid earnings, AI investment, and economic resilience underpin stocks, even as oil prices and volatility pressure markets.
Energy Stocks Vary Across Market Cycles

LPL Research explores the energy sector, and the different sub-sectors and business models within, before and after the start of the Iran War.
Private Credit Under Pressure: Liquidity Mismatches in an AI-Disrupted Cycle

LPL Research examines recent private credit activity in the face of growing sophistication from AI.
Why Oil Prices Matter Less — But Still Move Headline Inflation

LPL Research explains how America’s declining reliance on oil and rising geopolitical risks shape inflation, growth expectations, and volatility in 2026.