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December 2025 Fed rate cut odds rise after Williams’ near-term signal

December 2025 Fed rate cut odds climbed to nearly 60% after New York Fed President John Williams suggested a near-term cut, shifting market expectations. With Thanksgiving week market liquidity thin and Fed officials offering mixed signals, traders are closely watching yields, economic data, and the upcoming December Fed meeting 2025 for further direction.
Thanksgiving week 2025 market outlook: Volatility, thin liquidity, and a consumer test
Thanksgiving week 2025 market outlook highlights heightened volatility, with the VIX above 20 and stocks off recent highs. The article examines how thin holiday trading, mixed economic data, and uncertainty around the Fed's December rate decision could impact markets, while consumer spending during Black Friday and Cyber Monday remains a key swing factor.
US stocks weekly loss Nov 2025: Friday’s rebound couldn’t mask an AI‑shaken week
US stocks weekly loss Nov 2025 summarizes a volatile week where major indexes fell despite a Friday rebound. The S&P 500, Dow, and Nasdaq all posted declines, driven by fading AI momentum, sector-wide fatigue, and shifting rate cut expectations. Volatility spiked, and cross-asset moves reflected broader risk aversion.
Thanksgiving week 2025 market outlook: Retail spending, volatility, and delayed data
The Thanksgiving week 2025 market outlook centers on consumer spending as Black Friday and Cyber Monday approach, with markets pausing for the holiday and volatility remaining high. Key data releases, including delayed retail sales and real-time Black Friday indicators, will shape investor sentiment amid mixed economic signals and ongoing crypto weakness.
Bitcoin falls below $86,000 November 2025: Seven‑month low as liquidations surge
Bitcoin falls below $86,000 November 2025 as sellers drove prices to a seven-month low, triggering nearly $2 billion in crypto liquidations and wiping $1.2 trillion from the broader market. The article details the timeline, causes, and market impact of this sharp decline, including the role of leverage and shifting risk sentiment.
MSTR shorting as crypto hedge is driving the selloff: timeline, index risk, and debt tests
MSTR shorting as crypto hedge has intensified as institutions use Strategy’s liquid equity and options to manage crypto risk, contributing to the stock’s decline. The article details how this trend, combined with index exclusion risk and upcoming debt milestones, is shaping market dynamics and investor sentiment.
November 20 2025 stock reversal sets tone for a wild week on Wall Street
The November 20 2025 stock reversal triggered a volatile week in markets, with sharp swings in stocks, a spike in the VIX, and renewed caution across assets. Despite a Friday rebound, the S&P 500 ended the week lower, while AI stocks and Bitcoin also faced pressure amid shifting rate cut odds and fragile sentiment.

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