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The Market Has Every Reason to Pull Back

The Market Has Every Reason to Pull Back

I’m watching this market closely because it feels like investors are trying to balance a lot of conflicting signals right now. Stocks are holding up surprisingly well even with Treasury yields near multi-year highs and oil prices above $100. At the same time, expectations for another Fed hike have eased, which is giving investors another reason to stay bullish. What really catches my attention is how resilient the market has been. The S&P 500 is still sitting less than 1% from its record high, while the Nasdaq is near its own highs. I’m watching , and closely as earnings season gets closer. For me, the big question is whether stocks can keep pushing higher while yields stay this elevated, or if something finally gives. Are you still bullish here, or are you getting ready for a pullback?

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