Tuesday
Investors dumped U.S. stocks at record pace as Wall Street faltered amid mounting economic concerns. Big Tech-led declines intensified market uncertainty while international markets showed modest resilience.
Sources
US stock markets wavered this week, with record sell-offs and rising tariff fears intensifying economic concerns. Despite hints of a turnaround boosting bank stocks and investor optimism, uncertainty prevailed amid mixed signals and policy debates.
Investors dumped U.S. stocks at record pace as Wall Street faltered amid mounting economic concerns. Big Tech-led declines intensified market uncertainty while international markets showed modest resilience.
Sources
US Federal Reserve cuts its growth forecast amid rising tariff fears, leaving investors uneasy. Meanwhile, China’s stock market shows strength, intensifying concerns over America's market leadership.
Sources
U.S. markets show signs of bottoming out, boosting investor confidence while bank stocks gain appeal heading into 2025.
Sources
The US stock market faced mixed signals today: a slump may ease inflation while robust investor inflows and global caution fuel uncertainty. Domestic policy debates add to concerns amid emerging-market traits.
Sources
US stock markets remained volatile as investors reacted to upcoming tariff changes and cautious moves by major banks, fueling concerns over a potential economic slowdown.
Sources