Portfolio impact
Financial-Stock Portion of the S&P; 500 Value Index: 22.5%
Some critics of mutual fund manager Bill Miller tie his downfall to a misplaced faith in financial stocks. Miller recently resigned from his flagship... Read More
More Portfolio Impact
- Italy's Share of Global Sovereign Debt: 5%
- Return on 30-Year Treasuries Since Jan. 1: 28%
- Companies beating third-quarter earnings estimates: 75%
- Estimated 2012 Social Security Cost-of-Living Adjustment: 3.5%
- Rise in U.S. Prices for Consumer Goods Made in China: 7%
- Percentage by Which Alcoa Earnings Missed Estimates: -37.5
- Average Year-to-Date Hedge Fund Return: -0.9
- Monthly Consumer Spending in Retail Stores, Restaurants
- Triple Witching Days
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