The recent decline in global bond markets signals potential volatility that may indicate broader market risks, driven by tariff concerns and economic uncertainties.
Recent EU tariff threats are amplifying market volatility, reflecting early warnings from the CW Index and highlighting the interconnectedness of global trade dynamics.
Fed Chair Jerome Powell is under criminal investigation, raising concerns about potential instability at the Federal Reserve and its impact on market volatility.
The recent upheaval in Venezuela is influencing oil and gold markets, highlighting potential volatility driven by geopolitical tensions and economic indicators.