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Lookout Report: Despite Disappointing Headline Results, U.S. Retail Sales Remain Supportive Of Risk-Asset Pricing

The Lookout Report is a compendium of current data and perspectives from across S&P Capital IQ and S&P Dow Jones Indices covering corporate earnings, market and credit risks, capital markets activity, index investing, and proprietary data and analytics.

Highlights of this report include:

  • Macroeconomic Overview: The 2016 Outlook For The U.S. Economy And Corporate Profitability Appears To Be Brightening
  • Economic And Market Outlook: Sales Weakness Contributes to Second Consecutive Quarter Of EPS Declines
  • S&P Dow Jones Index Commentary: S&P 500 Dividends Make Quite A Splash
  • Leveraged Commentary And Data: Leveraged Loans Lose 0.53% In February; Year-To-Date Return Is -1.18%
  • R2P Corporate Bond Monitor
  • Capital Market Commentary: IPOs, M&A, And Debt

Hear some key takeaways of the report in this video.

Lookout Report Video Despite Disappointing Headline Results, U.S. Retail Sales Remain Supportive Of Risk-Asset Pricing