Commodities survive shakeout
Opinion: Global economic growth is underpinning a broadly-based rally in most hard and soft commodities.
Volatility in stock and bond markets is now a given after the ructions of the past three weeks.
At the end of last week, stocks had recovered half of the 10% they had lost since their January peak – a period defined as a correction.
Last week’s gain for the S&P 500 was its biggest in more
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