2025-04-18Eva Lobo
Foreign investors are rapidly pulling out of U.S. equity funds, with $6.5 billion withdrawn in just one week — the second-largest outflow on record. As recession fears rise, Donald Trump's 90-day tariff pause, U.S.-China trade war tensions, and gold hitting all-time highs are driving global investors to safer assets. Here’s why foreign holdings are shifting fast.
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2025-03-30Niranjan Ghatule
This week is shaping up to be the most eventful and potentially volatile period for U.S. financial markets in 2025. A combination of economic data releases and political events could significantly impact investor sentiment, market direction, and Federal Reserve policy expectations. Here’s a detailed breakdown of the key events to watch:
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2025-03-16Niranjan Ghatule
This week, US markets will be closely watching a series of key economic reports and the Federal Reserve’s interest rate decision. From retail sales and housing starts to jobless claims and manufacturing data, these indicators will provide insights into the economy’s strength and future policy direction.
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