LPL Research weighs in on the boutique versus larger manager debate within investment manager selection.
Macro Market Movers
Oil Prices, Interest Rates, and Strong Earnings
LPL Research discusses how geopolitical tensions, rising rates, and strong earnings are shaping markets, underscoring the importance of diversification.
Red Flags Missing from Manager Performance Screens
LPL Research continues its manager research series, exploring red flags that never appear in performance screens and often emerge in manager interactions.
Weekly Market Performance | July 24, 2026
LPL’s Weekly Market Performance for the week of July 20, 2026, highlights AI worries, high-profile earnings, and geopolitical tensions.
What’s Next for the Private Equity Buyout Market?
LPL Research examines buyout fund performance, distributions, vintage years, and what investors should expect from private equity ahead.
What History Shows in Midterm Election Years
LPL Research explains why midterm election years often bring volatility and how periods of uncertainty have historically created opportunities for investors.
Oil Rallies as Supply Routes Come Under Pressure
LPL Research examines the latest developments in the oil market and how renewed geopolitical tensions are impacting supply.
Weekly Market Performance | July 17, 2026
LPL’s Weekly Market Performance for the week of July 13, 2026, highlights AI jitters, geopolitical developments, and corporate earnings.
The Unthinkable Scenario for AI Investors
LPL Research dares to imagine a non-consensus future for AI where reality fails to meet lofty investor expectations.
Why Resource Nationalism Matters to Investors
LPL Research discusses resource nationalism: what it is, why it matters, and what are the implications for investors building multi-asset portfolios.