J.P. Morgan Says Buy These 2 Stocks as They Are Oversold

2022 has started out with a marked increase in market volatility, accompanied by a sharp reversal of last year’s bullish trend. The sudden correction, and the shift to a more downbeat investor sentiment, are generally attributed to a series of increased risk factors. On the international front, these tensions include geopolitical tensions on the Russia-Ukraine border and around China’s belligerence. Domestically, factors impacting the markets include the inflation that is both high and rising; and the prospect of higher interest rates from the Federal Reserve.

That last factor has been getting a lot of airtime recently. The Fed is widely expected to enact a half-percent rate increase next month, and at least two more such hikes by the end of the year. However, according to JPMorgan’s Chief Global Markets Strategist Marko Kolanovic, these potential rate hikes are no reason for…

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