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D-Risk Investing Podcast

Weekly Global Markets Brief - Episode 156 - Dec 6, 2025

06 Dec 2025

Description

The Dollar Capitulation: Why is the market shorting the US Dollar right before the Fed meeting? This week, the U.S. Dollar Index (DXY) broke a critical technical Death Cross at 99.00, confirming a major bearish shift that is fueling an "everything rally" despite a "stagflation lite" backdrop in the U.S. While the S&P 500 and Nasdaq 100 futures consolidated, international markets (Nikkei 225, Hang Seng Index, DAX) surged on the promise of global liquidity. We dive into the massive disconnect: Gold holds strong above $4,200, WTI Crude Oil spikes on geopolitical headlines but remains in a Death Cross, and the ultra-low Vix at 15 signals widespread complacency. Is the market's high-conviction bet on a Fed rate cut about to be validated, or will the collapsing dollar trigger a volatile reversal next week? Tune in for the D-Risk breakdown.

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