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Dollarama & Lululemon Struggle as Market Volatility Continues

About this episode

Markets remain highly volatile as tensions in the Middle East continue to drive sharp swings across equities, bonds, and commodities. We break down how rising oil prices and inflation expectations are impacting different sectors, why the S&P 500 and Nasdaq are down year-to-date, and how diversification is helping investors navigate the current environment.

We then turn to private credit, where issues continue to surface. A KKR fund gets downgraded to junk, more funds are limiting redemptions, and Blackstone’s BCRED reports a rare monthly loss. We discuss why these assets can appear stable on the surface and the risks tied to how they’re valued.

On the earnings side, Dollarama reports solid results but sells off on weaker guidance and high expectations. Lululemon continues to struggle in North America despite strong international growth, while trying to fix product and execution issues. We wrap with Oracle, which is aggressively investing in AI infrastructure, raising questions around heavy spending, debt, and potential dilution.

Tickers discussed:

 KKR, BX, DOL.TO, LULU, ORCL

 

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Dollarama & Lululemon Struggle as Market Volatility Continues

The Canadian Investor

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