Image Source: UnsplashIn this episode, Samantha LaDuc and Craig Shapiro discuss the current volatile market conditions, the impact of geopolitical risks, rising yields, a strong dollar, and the earnings season. They delve into the specifics of treasury market issues, government deficits, and the potential for a government shutdown, discussing how these factors are influencing the market and investor behavior. The speakers also touch upon the Federal Reserve’s role and potential actions in this environment, as well as the implications of persistent inflation and the labor market’s strength on the economy. They highlight the interconnectedness of various economic factors and their cumulative impact on market trends and investor strategies.Video Length: 01:00:25More By This Author:Wolf’s Weekly Trade IdeasMiddle East Conflict: Its Impact On Markets And OilMacro-To-Micro Power Hour: Is The Worst Over?
Search
New Posts
Mars to Buy Pringles Maker Kellanova for $36 Billion: A Big Deal in the Snack World
Volvo Cars to Deliver First EX90 SUVs This Month After Delay
Housing Market Filled With ‘Wait-and-See’ Home Buyers
AI Dataset Licensing Companies Form Trade Group
New Tom Hanks Film “Here” and the Unsettling ‘De-Aging’ Technology Keeping Stars Forever Young
Leave A Comment