Treasury Market: Stuck Between Iran and a SaaS Space

LPL Research examines how Treasury yields are caught between AI‑driven growth concerns and rising inflation pressures from escalating geopolitical risks.

Weekly Market Performance — March 6, 2026

LPL’s Weekly Market Performance for the week of March 2, 2026, highlights geopolitical developments and their impact on equities, fixed income, and commodities.

Managed Futures: Current Positioning and Geopolitical Risks

LPL Research explores how rising geopolitical tensions are challenging managed futures, with equity, commodity, bond, and currency positioning driving performance.

Iran Escalation: How Markets Have Reacted to Geopolitical Events

LPL Research examines what escalations in the Middle East could mean for stock markets and how markets have reacted historically to geopolitical shocks.

Risk-On Appetite Strong in 2026: Fund Flows Recap

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

Assessing the Impact of Developments in Iran: Watch Energy

LPL Research discusses the primary market impacts of fluid U.S.-Iran geopolitical developments that began over the weekend.

Weekly Market Performance — February 27, 2026

LPL’s Weekly Market Performance for the week of February 23, 2026, highlights how AI disruption fears pressured equities, while defensives, energy, Treasuries and metals strengthened.

Continuation Funds: What They Are and Why They Matter

LPL Research explores how continuation funds work, why private equity managers use them, key risks for investors, and how these structures impact public markets.

Competitors to the Greenback Are Less Significant

LPL Research highlights the role of the U.S. dollar in global finance.

When Mega Caps Waver and Small Caps Surge

LPL Research discusses examples from history of small caps surging to start the year, and what to watch for from the asset class and the Magnificent Seven in the near future.