Morgan Stanley's Wilson Sees Higher Oil as Key Risk for Equities
Morgan Stanley's Michael Wilson identifies rising oil prices as the primary threat to US equity market performance. He suggests that investors can mitigate this risk by using energy sector shares as a hedge for their portfolios.
Readers say
How does this story lean?
Outlet ratings above are Trace's curated source map. Vote here (same as on the home feed) — one vote per browser, changeable anytime. Rate individual outlets in the coverage list below.
Comments
0No comments yet. Say what you noticed in the coverage.
Trending