Market Preview: CPI, Fed Chair Transition, and Trump-Xi Summit Take Center Stage – Week of May 11, 2026
The S&P 500 enters the week of May 11, 2026 at historic highs near 7,400, with markets bracing for the April CPI report, the Kevin Warsh Fed Chair confirmation vote, the Trump-Xi summit in Beijing, and key earnings from Applied Materials, Cisco, and Nebius.
Market Preview: Earnings Surge and Jobs Data Test Record Highs – Week of May 4, 2026
A forward-looking analysis of the key market drivers for the week of May 4, 2026, covering the April jobs report, ISM services data, major earnings from Palantir, AMD, Disney, and McDonald's, and the ongoing geopolitical risks shaping investor sentiment.
Market Preview: Magnificent 7 Earnings and Powell's Final Meeting Take Center Stage – Week of April 27, 2026
The week of April 27, 2026 brings the busiest stretch of Q1 earnings season — with Meta, Microsoft, Alphabet, Amazon, and Apple all reporting — alongside the FOMC meeting, Q1 GDP data, and ongoing geopolitical risks. Here is what investors need to watch.
Market Preview: Record Highs, Hormuz Tensions, and a Heavy Earnings Week – Week of April 21, 2026
The S&P 500 enters the week at record highs above 7,100, but the re-closure of the Strait of Hormuz, a packed economic calendar, and major earnings from Tesla, Boeing, and 3M set the stage for a pivotal week in markets.
Market Preview: Bank Earnings, Hormuz Blockade, and Fed Speakers Take Center Stage – Week of April 13, 2026
A pivotal week ahead as Q1 earnings season accelerates with major bank reports, the US announces a naval blockade of the Strait of Hormuz, and a barrage of Fed speakers weigh in on the inflation outlook.
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