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0.00118455342335949 0.00260601753139065 0.00331674958540632 0.00213219616204699 0.00124141198768061 0.000710732054015663 0.00923951670220328 0.0135039090262971
Stock impact report

Strategists’ forecasts are all over the place, why bad news is losing its bite in markets, and the latest ETF Buyer’s Guide [Toronto Globe and Mail (Ontario, Canada)]

Bank of America Corporation (BAC) 
Last bank of america corporation earnings: 4/15 06:45 am Check Earnings Report
US:NYSE Investor Relations: investor.bankofamerica.com
Strategists’ forecasts are all over the place, why bad news is losing its bite in markets, and the latest ETF Buyer’s Guide The pandemic has made profit and cash flow estimates nearly impossible to pinpoint with any confidence. The resulting information vacuum has been filled with a dizzying variety of credible strategist forecasts. Morgan Stanley’s U.S. equity strategist Michael Wilson is extremely bullish. In a Friday research report he wrote, “Bear markets end with recessions, they don’t begin with them, making the risk/reward more attractive today than it’s been in years.” Mr. Wilson trusts that U.S. government fiscal measures – the scale of public spending will create an estimated fiscal deficit of 18 per cent of GDP this year, the biggest since World War II – will minimize the market damage arising from a recession. He believes the worst of the equity market selling is behind us. This bullish view is not even shared throughout Morgan Stanley, as I noted in one of last week’s new Show less Read more
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