scroll50-dblclk
reii-mc3st
reii
mc3lp

Market Commentary

Get our experts' perspective on recent market trends and what they could mean for your investment portfolio.

The latest commentary

CPI Mild, Stocks Pare Losses

Major indexes vacillated as the Consumer Price Index landed below expectations at 0.2%. The reading may be 'well received' by Fed members worried about inflation.

February 13, 2026

Perspective: Riding the Waves

Our point of view on recent market and economic activity.

February 12, 2026


Anchor in a Stormy Sea

While occasional bouts of volatility are likely, we expect the fixed income markets to provide ballast for portfolios and are likely to deliver solid returns in 2026.

February 11, 2026

Covered-Call ETF: What to Know

Exchange-traded funds that combine equity market exposure with a side of options may seem appetizing, but there are risks worth considering before adding one to your plate.

February 11, 2026

Taylor Rule Provides Rate Guide

As Trump and Powell argue over rates, the Taylor rule uses data to suggest where rates should be. But some argue this is an outdated way to set policy.

February 11, 2026

Geopolitical Risk is Evolving

Weakening global ties may lead to economic disruption and lasting investment implications. Here's what investors should know about navigating the changing landscape.

February 09, 2026

Trading

Weekly Trader's Outlook

Nathan Peterson, Jim Ferraioli
February 13, 2026
Joe Mazzola

Today's Options Market Update

Joe Mazzola
February 13, 2026
Jacob Baker

Looking to the Futures

Jacob Baker
February 13, 2026

US stocks and economy

Our perspective on what's driving U.S. equity markets

Market Snapshot

Liz Ann Sonders shares her perspective on the U.S. stock market and economy in this monthly Market Snapshot video.

February 05, 2026

Perspective: Riding the Waves

Our point of view on recent market and economic activity.

February 12, 2026

Earnings Season So Far

Earnings results are shaping up to be quite solid this season, albeit a bit weaker relative to prior quarters when it comes to beat rates and price reactions.

February 04, 2026

Year-End Targets

Year-end S&P 500 price targets implicitly assume continuity and fail to recognize volatility and macro forces that affect markets throughout any given year.

January 20, 2026

International stocks and economy

 Our take on crosscurrents affecting international equities

Perspective: Riding the Waves

Our point of view on recent market and economic activity.

February 12, 2026 Liz Ann Sonders • Kevin Gordon • Kathy Jones • Michelle Gibley

Geopolitical Risk is Evolving

Weakening global ties may lead to economic disruption and lasting investment implications. Here's what investors should know about navigating the changing landscape.

February 09, 2026

EM: AI Opportunity and AI Risk

Technology has become a major driver of emerging-market stock performance.

January 12, 2026

2026 International Outlook

International stocks could be poised for another strong year in 2026 due to accelerating global growth, attractive valuations and the potential for dollar weakness.

December 09, 2025

Fixed income

Insights on the latest developments in fixed income and currency markets

Perspective: Riding the Waves

Our point of view on recent market and economic activity.

February 12, 2026 Liz Ann Sonders • Kevin Gordon • Kathy Jones • Michelle Gibley

Anchor in a Stormy Sea

While occasional bouts of volatility are likely, we expect the fixed income markets to provide ballast for portfolios and are likely to deliver solid returns in 2026.

February 11, 2026

Fed Holds Steady on Rates

The federal funds rate will remain 3.5% to 3.75%. While the market still expects two rate cuts late this year, the Fed is likely to tread cautiously given the economic backdrop.

January 28, 2026

Municipal Bond Risks in 2026

While our outlook for the municipal bond market in 2026 is positive overall, we have identified five risks that we believe should be on investors' radar.

January 22, 2026

Government affairs

Our take on policy decisions that may affect markets and investments

0126-PJX1

This material is intended for general informational and educational purposes only. This should not be considered an individualized recommendation or personalized investment advice. The securities, investment products and investment strategies mentioned are not suitable for everyone. Each investor needs to review an investment strategy for their own particular situation before making any investment or trading decisions.

All expressions of opinion are subject to change without notice in reaction to shifting market conditions. Data contained herein from third party providers is obtained from what are considered reliable sources. However, its accuracy, completeness or reliability cannot be guaranteed.

For illustrative purposes only. Individual situations will vary. Not intended to be reflective of results you can expect to achieve.

Investing involves risk, including, for some products, more than your initial investment.

Hedging and protective strategies generally involve additional costs and do not assure a profit or guarantee against loss.

Fixed income securities are subject to increased loss of principal during periods of rising interest rates. Fixed income investments are subject to various other risks including changes in credit quality, market valuations, liquidity, prepayments, early redemption, corporate events, tax ramifications, and other factors.

The policy analysis provided by the Charles Schwab & Co., Inc., does not constitute and should not be interpreted as an endorsement of any political party.