The U.S. stock market saw a rollercoaster week as investors weighed a fresh wave of economic data, global trade concerns, and volatile corporate earnings. Major indices fluctuated throughout the week, driven by shifting investor sentiment, rising bond yields, and concerns over economic slowdowns in key regions. Despite these shocks, some sectors showed resilience, and a few stocks posted surprising gains.
As we conclude the week ending March 28, 2025, here's an overview of market movements, top performers, and key events.
🔔 Don’t miss out!
Add winvestacrisps@substack.com to your email list so our updates never land in spam.




