1. S&P 500 Performance:
The S&P 500 has risen by 22% year-to-date, marking its best performance in 27 years and achieving 47 all-time highs this year.
2. Gold Surge:
Gold has increased by 32% and is on track to have its best year in 45 years.
3. Silver Rally:
Silver has surged by 42%, reaching its highest level in 12 years and posting its 5th-best year this century.
4. Oil Decline:
Oil prices are plummeting, signaling concerns of an impending global recession.
5. Strong Utilities Sector:
Utility stocks are experiencing one of their best performances this century.
6. Global Rate Cuts:
Central banks around the world are aggressively cutting interest rates, suggesting they are preparing for a potential global recession.
7. US Public Debt Growth:
U.S. public debt is rapidly increasing, indicating concerns of a financial crisis or potential conflict.
8. Volatility Signals:
The VIX and MOVE indexes, which measure stock and bond market volatility, are trading at levels suggesting that market participants are anticipating significant turbulence.
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