S&P 500 Index
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Three Markets. Three Different Messages

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This week's price action highlights a growing divergence across key markets

Oil has continued to move higher, reflecting ongoing supply disruption and geopolitical risk.

Rates remain elevated, signaling persistent inflation pressure and a constrained Fed.
Equities, however, continue to hold near highs, suggesting a stable growth backdrop

Taken together, these signals don't fully align

From a cross-asset perspective:
  • Energy is signaling stress
  • Rates are reinforcing inflation risk
  • Equities are showing resilience


That combination is worth paying attention to.

The question isn't whats moving- it's what isn't reacting

[/I] For informational and educational purposes only. Not investment advice

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