Weekly Market Performance — May 1, 2026

LPL’s Weekly Market Performance for the week of April 27, 2026, highlights high-profile earnings, global central bank decisions, and bond market headlines.

Sell in May and Go Away? Maybe Not

LPL Research explores the popular Sell in May seasonal period for stocks.

Two Equity Trends That Highlight Diversification

LPL Research reviews global and sector equity trends, showing how international stocks, and energy have provided diversification.

Paper vs. Physical: What Tighter Oil Supplies Could Mean

LPL Research discusses the supply shock in the physical oil market and related implications for the U.S. dollar and equities.

Weekly Market Performance — April 24, 2026

LPL’s Weekly Market Performance for the week of April 20, 2026, highlights geopolitical developments, earnings highlights, and bond and commodity market moves.

Weekly Market Performance — April 24, 2026

LPL’s Weekly Market Performance for the week of April 20, 2026, highlights geopolitical developments, earnings highlights, and bond and commodity market moves.

How To Think About IPOs in 2026

LPL Research analyzes the historical returns when investing in IPOs and outlines why this year’s IPOs may follow a different path.

Seven Takeaways from Warsh Confirmation Hearing

LPL Research examines new insights from the Senate Confirmation Hearing for Nominee Kevin Warsh

Are Treasuries Losing Their Luster?

LPL Research examines whether rising U.S. debt threatens Treasuries’ safe-haven status, and why investor demand remains resilient.

Weekly Market Performance — April 17, 2026

LPL’s Weekly Market Performance for the week of April 13, 2026, highlights geopolitical de-escalation, bank earnings, and bond and commodity market moves.