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.

Tactical Positioning Update: From Preparation to Action

LPL Research examines the latest updates to their tactical views and what it means to be a tactical investor.

Best Performing Sector During the Iran Conflict May Surprise You

LPL Research analyzes sector performance during the Iran conflict and highlights the surprising leader, technology.

Private Credit: Beyond Direct Lending

LPL Research summarizes the asset-based lending space within private credit.

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.

Private Credit: A Cycle of Reset

LPL Research discusses credit cycles, what private credit markets are facing today, and how investors may think about the asset class.

Long-Term Opportunities Always Present Themselves

LPL Research highlights how market volatility has improved valuations and why resilient earnings and fundamentals are creating long‑term investment opportunities.

March Flows: Risk-Off Rotation Reshapes Portfolios

LPL Research explores March and year-to-date (YTD) fund flows data and investor sentiment across asset classes.

Weekly Market Performance — April 2, 2026

LPL’s Weekly Market Performance for the week of March 30, 2026, highlights geopolitical developments, commodity market moves, and economic calendar highlights.

Where Has Active Management Shined and Struggled?

LPL Research discusses its recently updated study of the effectiveness of active management across asset classes, as well as implications for portfolios.