Market Week in Review
| By Erik Ristuben
Editorial Note: Market Week in Review will return Friday, December 2, 2016.
In this week’s video update:
- As U.S. markets acclimate to the likely policies of a Trump administration, bonds see some volatility while equities experience some sector rotation.
- Europe’s good economic news this week (a revised Q3 GDP of 1.6%) could be tainted in the coming weeks by the outcome of the December 4 Italian referendum.
- Emerging markets decline this week due, in part, to increasing strength in the U.S. dollar, and we expect to see more volatility in the weeks ahead.