Central banks face growing pressure as inflation cools and housing weakens. This week, we unpack the macro shifts shaping markets and explore how investors might position.
Job growth got a historic downgrade, gold made fresh records, and oil wobbled as the market leans into a Fed cut—here’s how to read it without oversteering.
Jobs are slowing, the Fed is pivoting, gold is surging, and AI earnings are stealing the spotlight. Here’s what you need to know this week.
This week’s market recap: Nvidia’s AI showdown, political risk at the Fed, tariffs flare with India, and why investors are rotating between tech and gold.
This week, stocks treaded water ahead of Jackson Hole. Solar soared, Meta stumbled, and investors braced for Powell’s words. Here’s what it all means—and how to think about positioning.
This week’s CPI surprise, rising core inflation, trade turbulence—and how SP10 offers clarity when uncertainty reigns.
AI-led rallies, Fed drama, and new global tariffs—all in one week. Here’s how to navigate it.
Midway through 2025, the S&P 500 is at all-time highs. But under the hood? Inflation, tariffs, AI euphoria, and global rotation are rewriting the rules.
Krispy Kreme, GoPro, and retail investors are moving markets again. This time, the game has changed.
From AI data centers to a possible power crunch—here’s what investors really need to know (and how to play it smart).
Large-cap growth stocks are leading the charge again. Here’s what this shift could mean for your portfolio and strategy in 2025.
From tax breaks to clean energy cuts, here’s how the Senate’s latest move could impact your portfolio — and where smart money’s headed next.