Nasdaq Rockets, Bonds Buckle: Inflation’s Shadow Forces a Fed Reckoning
Introduction On 8 September 2025, global markets surged into fresh territory even as inflation and political shocks reminded investors of latent risks. The Nasdaq notched
Introduction On 8 September 2025, global markets surged into fresh territory even as inflation and political shocks reminded investors of latent risks. The Nasdaq notched
Introduction On 7 September 2025, markets swung between relief and renewed caution as traders digested weak U.S. economic data, shifting oil dynamics, and geopolitical tremors.
Introduction On 6 September 2025, markets took a measured stance as energy dynamics adjusted and earnings optimism persisted in India. OPEC+ signaled further, but modest,
Introduction On 5 September 2025, financial markets shifted into cautious mode after a disheartening August jobs report. U.S. equities edged lower from record highs as

Introduction On 4 September 2025, global markets staged a rebound after a rocky start to the month. U.S. equities regained ground, lifted by strong performances

Introduction On 3 September 2025, global financial markets navigated a delicate balance between optimism and caution. While equity markets in the United States recovered some

Introduction On 2 September 2025, global financial markets took a decisive step back as bond yields surged and inflation concerns re-emerged. The sell-off in long-term

Introduction On 1 September 2025, global markets began the new month with a mixture of optimism and caution. The previous weeks had been marked by

Introduction On 30 August 2025, global financial markets moved with a mix of confidence and caution as summer trading drew to a close. China’s CSI

Introduction On 29 August 2025, the U.S. stock market ended August on a cautious tone. After rallying most of the month, index gains paused as
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