– US Equities and Commodities declined while International Equities and US Treasuries were flat for the week.
– All key factors, styles and sectors declined. Energy stocks were hit hardest – declining more than 8%.
– Emerging market equities squeaked out a gain, boosted by a 6.8% one week return from China.
– Crude oil prices corrected, finishing the week 11.1% lower.
![World Wrap](https://www.cypresscapital.com/wp-content/uploads/Research/Reports/20221210-World-Wrap-pdf.png)