Global markets brace for a volatile second half of 2025. Trade tensions and Federal Reserve policy are key concerns. US jobs data and European Central Bank discussions are closely watched. China’s economic recovery remains uncertain. Mergers and acquisitions are surprisingly strong despite market headwinds. Investors navigate a complex landscape of tariffs and geopolitical risks.
Ahead of Market: 10 things that will decide stock market action on Monday
Indian markets closed lower for the second straight week, dragged by weak earnings, US tariff threats, and global uncertainty. IT stocks underperformed while Glenmark Pharma