Finance · 07/23/2025
Financial Management Guide in the USA How to Manage and Transfer Funds Safely
This article provides essential knowledge for effectively managing finances in the United States, including guidance on opening bank accounts, using checks and debit cards, applying for public benefits, budgeting, borrowing and credit, international remittances, and understanding income taxes. It aims to assist new immigrants or residents in better managing their finances.
Taxation · 07/23/2025
Optimizing Federal Taxation Collaborative Efforts Between Government Agencies and the IRS
This article discusses the cooperation mechanisms between the Internal Revenue Service (IRS) and various levels of government, emphasizing the importance of fairness and service in fulfilling tax obligations. It particularly highlights the specialized information and services for Indian tribes and tax-exempt bond communities.
Finance · 07/21/2025
Trusts And Funds: Two Major Aids In Wealth Management, How To Make Rational Choices?
This article explores the role of trusts and funds in wealth management by analyzing their significant differences in various dimensions, including legal structures, investment methods, profit distribution, risk control, tax planning, and management approaches. It provides recommendations on how to choose the appropriate tools based on individual financial conditions and needs. Additionally, the article outlines the main differences between trusts and funds in the United States and Canada, assisting readers in better wealth planning and asset allocation.
Finance · 08/06/2025
Gold Hits Fiveweek High Amid Tariff Negotiation Concerns
Gold prices have recently risen to a five-week high, mainly influenced by a weakening dollar and U.S. bond yields. Investors are on edge due to the upcoming tariff negotiations. Notably, gold purchases from China, the world's largest consumer, have significantly decreased, reflecting multiple uncertainties regarding future market trends.
Finance · 08/06/2025
US Treasury Yields Near 5 Spurring Investor Adjustments
The 10-year US Treasury yield has surpassed 4.6%, with market experts warning that a breach of 5% could trigger a stock market adjustment, but this also presents buying opportunities in the bond market. Investors should take advantage of the yield range to enhance their balance of returns and risks.
Finance · 08/06/2025
US Treasury Etfs Face Volatility As Rates Currency Risks Rise
US Treasury bond ETF investors face dual pressures from rising interest rates and exchange rate fluctuations. The article analyzes the conditions necessary for hedging, including the extent of interest rate declines, exchange rate stability, and holding duration. It reminds investors to pay attention to asset allocation and market volatility during the investment process.
Finance · 05/02/2025
Market Alert Former Treasury Secretary Criticizes The Logic Of Interest Rate Cuts And Calls For Sustaining High Rates
The former Treasury Secretary harshly criticized market expectations for interest rate cuts, arguing that bond market trends do not justify such actions and warning that accommodative policies could severely undermine market confidence in controlling inflation. Additionally, despite clear signs of economic weakness, he emphasized that cutting rates would be highly inappropriate while inflation remains effectively uncontrolled, urging a cautious approach to price pressures.
Finance · 01/10/2025
US Crackdown on Chinese Auto Sector Triggers Ashare Slump
The Chinese A-share market closed sharply down on Friday, influenced by the upcoming announcement of new regulations affecting the Chinese automobile industry by the U.S. The Shanghai Composite Index fell below 3,200 points, with significant declines also seen in the Shenzhen Composite Index and the ChiNext Index. Meanwhile, the central bank adjusted its treasury bond buying strategy to ensure market liquidity.
Finance · 05/22/2025
US 20year Treasury Yield Surpasses 5 Amid Market Volatility
Recently, the auction of 20-year U.S. Treasury bonds showed weak performance, with the winning yield hitting a new high of 5.047%. This phenomenon has raised concerns in the market regarding U.S. fiscal strategies, leading to a widespread decline in the stock, bond, and currency markets. Investors are increasingly alert to the potential risks associated with the continued rise in debt.
Finance · 09/16/2024
Dynamic Changes in Financial Markets Amid Economic Policy Uncertainty in the U.S. Since 2024
In 2024, the U.S. financial markets were significantly affected by economic policy uncertainty, experiencing two phases of vulnerability accumulation and volatility. The notable rise in the economic policy uncertainty index reached a historic high in 2025, resulting in increased risks in the stock, treasury, and corporate bond markets. This dynamic reveals potential hidden threats to future market stability, highlighting the importance of monitoring changes in economic policy and their impact on
Finance · 04/29/2025
Morgan Stanley Warns of Risks to SP 500 Rally
After briefly surpassing the 5500 resistance level, Morgan Stanley warns of four key risks facing the S&P 500: tariff relief, a Federal Reserve pivot, Treasury yields, and earnings growth. Morgan Stanley advises monitoring the bond and labor markets, favoring US equities with a focus on high-quality defensive and cyclical stocks. The firm recommends individual stocks in sectors including energy, industrials, consumer staples, financials, technology, networking, and real estate.
Finance · 01/04/2023
Risk Assessment Report of the United States Financial Crisis Indicators - December 2022
This report assesses the overall risk status of the US financial market based on 12 core indicators from December 2022. It analyzes areas such as the foreign exchange market, corporate bond market, stock market, and banking system, indicating that while risks have slightly decreased, they remain in an unstable state. The report also highlights a balance between areas of improvement and deterioration, revealing enhancements in market and credit risks alongside an increase in macroeconomic risks.
Finance · 07/24/2025
Understanding The Impact Of FOMC Meetings On Interest Rate Decisions
The FOMC meeting is a crucial decision-making body of the Federal Open Market Committee in the United States. In the June meeting, it was decided to keep the interest rates unchanged, with expectations of two rate cuts in the near future. The meeting addressed monetary policy, economic outlook, and its impact on the market, holding significant importance for investors and the economic situation. The decisions made during this meeting typically have a substantial effect on the performance of stock and bond markets.
Taxation · 08/21/2025
Guide to Offshore Company Complexities Unveiled
This article addresses common questions regarding offshore company operations in a clear and accessible manner. It covers key aspects such as Malaysian work visas, foreign currency bond taxation, BVI company economic substance, company searches, Seychelles company accounting records, Marshall Islands bearer shares, and Macau company director changes. The aim is to help readers clarify their understanding and mitigate potential risks associated with offshore entities and related compliance requirements. It provides practical insights into navigating the complexities of international business structures.
Finance · 07/21/2025
Comprehensive Investment Solutions Exploring Diversified Financial Products
This article presents comprehensive investment solutions designed to help investors meet their personal financial needs and goals through a diversified range of financial products. The available investment tools include stocks, bonds, mutual funds, offshore funds, options, and exchange-traded funds (ETFs), aimed at supporting clients in effective asset allocation and appreciation. The importance of customer service is emphasized, encouraging investors to explore investment opportunities through the platform.