This week’s stock shocks as of 25th July 2025
Wall Street entered mid-July caught between hope and hesitation. After a stretch of record-setting advances, U.S. markets lost momentum, buffeted by new trade threats, mixed corporate earnings, and simmering Federal Reserve uncertainty. Despite volatility, the underlying market narrative remained one of selective strength—marked by sector rotation, a continued flight to quality, and investors keeping one eye firmly on Washington and the other on the global economic pulse.
🔔 Don’t miss out!
Add winvestacrisps@substack.com to your email list so our updates never land in spam
Keep reading with a 7-day free trial
Subscribe to Winvesta Crisps to keep reading this post and get 7 days of free access to the full post archives.