Financial Stability & Dynamics
Analyzes financial flows and trends, global investment balances and wealth creation, and the roles, structures and challenges of financial institutions and regulations. Special attention is paid to the Federal Reserve, interest rates, exchange rates and financial markets.
April 29th, 2016
The extraordinary monetary policies applied by European central banks are working at cross purposes.
December 15th, 2015
The Fed’s impending interest rate missed the long window of opportunity and now ignores signs of weakness in the global economy.
August 17th, 2017
The initial boost to the S&P from Trump’s election dissipated over his first 200 days in office, weakening further even before his “fire and fury” comment on August 8.
November 16th, 2016
Trump and the Fed are likely on a collision course over who controls monetary policy.
February 9th, 2016
This briefing presents our views on recent market volatility in oil, stocks and exchange rates and how these markets will evolve in 2016.
December 22nd, 2015
This report introduces new analysis of the financial risk that emerges when net wealth and national income become imbalanced late in the economic cycle.
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