Blog categorized as Market Commentary

What Were the Key Fiscal Fireworks and Market Risks That Shaped Last Week’s Volatility?

08.07.25 03:56 AM - By Cullen - Comment(s)
What Were the Key Fiscal Fireworks and Market Risks That Shaped Last Week’s Volatility?
Trump’s tariff rollout begins August 1, putting pressure on global markets. With fragile investor sentiment and soaring valuations, even small shocks could trigger a sharp correction this week. Stay informed.

What Just Happened and What’s About to Move The Markets?

01.07.25 02:28 PM - By Cullen - Comment(s)
What Just Happened and What’s About to Move The Markets?

Markets ended the week of June 27th on a strong note, extending a surprising rally despite heightened geopolitical tensions and ongoing central bank recalibration. The S&P 500 closed at a record high of 6,173.07 on June 27, 2025—the highest closing level on record.  



The Federal Reserve left...



What Does the 2025 Defense Realignment Mean for Your Business Strategy?

30.06.25 02:11 PM - By Cullen - Comment(s)
What Does the 2025 Defense Realignment Mean for Your Business Strategy?
Explore 2025’s defense realignment—where AI, cyber warfare, and Indo-Pacific readiness are reshaping global military power and investments.

What Just Happened in the Markets — And What’s Coming Next?

23.06.25 02:44 PM - By Cullen - Comment(s)
What Just Happened in the Markets — And What’s Coming Next?
Fed holds rates as tariff fears rise; U.S. bombs Iran, spiking oil prices. With core PCE and GDP data ahead, markets brace for volatility and a possible July rate cut

How Will the Israel–Iran War Affect Oil Prices, Inflation, and Global Market Stability?

21.06.25 02:30 AM - By Cullen - Comment(s)
Israel–Iran conflict rattles markets: soaring oil prices, rising inflation fears, and Fed uncertainty reshape global investing. Discover sector shifts, geopolitical risk signals, and macro trends shaping 2025's volatile outlook.