Bi-Weekly Market Update

US Equity Markets President Trump’s aggressive tariff policies and rhetoric, especially towards China and the EU, are major drivers of continued market uncertainty and volatility over the past two weeks. This is evidenced by the elevated VIX (hitting a high of over 53...

Bi-Weekly Market Update

US Equity Markets President Trump’s aggressive global tariffs, imposed across virtually all the United States’ major trading partners, have ignited fears of a full-blown trade war and potential global recession. The tariffs could raise prices, invite retaliation, slow...

Bi-Weekly Market Update

US Equity Markets The S&P 500 temporarily entered correction territory as investors assessed economic risks and the Fed’s response to potential inflation and slowing growth. Growth concerns and increasing recession fears were amplified by comments from President...

Bi-Weekly Market Update

US Equity Markets Last week US markets saw the worst week of 2025 as investors remain cautious amid escalating concerns over trade policy uncertainty stemming from policy announcements from the Trump administration. Despite the announcement of one-month tariff...

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