U.S. dollar

Top 10 facts and predictions

With barely two days to go — one if you’re in Australia — before 2011 is consigned to the dustbin of history, investment experts the world over are furiously fashioning forecasts. Keeping one eye trained on the road ahead and the other on the rear view mirror, Doug Porter, deputy chief economist, BMO, offers some […]

By Staff |December 29, 2011

4 min read

U.S. politics threaten AAA-rating: HSBC

Despite a growing of risk of a credit rating downgrade, the U.S. remains in denial and unwilling to shake off its decade long fiscal laxity. Rather than cutting to address the disturbing deterioration in fiscal and debt metrics, the U.S. administration remains fixated on spending, says Philip Poole, global head of macro and investment strategy, […]

By Vikram Barhat |April 26, 2011

3 min read

U.S. debt fight may spook markets

Earlier this week the U.S. Treasury revised its estimate for when Washington will hit the $14.294 trillion statutory limit on government borrowing. The limit is now expected to be reached between April 15 and May 31, having previously been pegged at April 5 to May 31. The announcement was accompanied by the usual dire warnings […]

By Dean DiSpalatro |March 4, 2011

4 min read

U.S. equities hold promise: Laurentian Bank

The U.S. economy is strengthening and will set the tone for the global investment landscape in 2011, according to the chief economist of Laurentian Bank. “Two significant events occurred at the end of 2010 that generated significant momentum for the American economy,” says Carlos Leitao, pointing to the second wave of quantitative easing and the […]

By Steven Lamb |January 27, 2011

2 min read