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D-Risk Investing Podcast

The Global Brief - Episode 149 - Nov 13, 2025

13 Nov 2025

Description

Post-Shutdown Reality Check: Can We Trust the Data? Markets have traded for weeks on a powerful rate-cut fantasy, but the S&P 500 and Nasdaq futures are now pausing as the Post-Shutdown Reality Check sets in. With the crucial October CPI report's release, and integrity, in doubt, the data fog has been replaced by pure uncertainty. We break down the massive global market divergence: Gold and the bond market are accelerating a high-conviction dovish trade, pushing the 10-year yield lower, while European equities like the FTSE 100 and DAX grapple with weak growth. From the sticky-low price of WTI Crude to the anxiety flickers in the VIX, we examine every signal to determine how the Fed's every word will shape the market's direction next.

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