In this week’s recap: stocks soar, the USMCA is signed, households spend more, and two housing market indicators fall short.
In this week’s recap: a gain in existing home sales, a dip for consumer sentiment, more pain for the oil sector, and more losses for the big three.
In this week’s recap: a first-rate Q3 GDP reading, mixed housing indicators, slightly weaker household sentiment, and a significant retreat for equities.
In this week’s recap: home sales lag, retail sales barely improve, new Fed minutes discuss staying the course, and major equity indices advance.
In this week’s recap: the Fed hikes, consumers feel optimistic, personal income and new home sales improve, and the major indices have a mixed week.
In this week’s recap: the Dow returns to record territory, home sales flatten, housing starts surge, and the price of oil rises.