Wall Street staged a powerful rebound in the week ended April 25, 2025, as investors shook off recent volatility, with tech stocks roaring back and risk appetite returning despite persistent trade war anxieties and mixed earnings. The S&P 500, Nasdaq, and Dow all posted strong gains, led by a surge in megacap technology and consumer discretionary names. Yet, beneath the surface, sector rotation, ongoing geopolitical tensions, and cautious investor sentiment kept the market’s mood complex and nuanced.
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