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The week ending May 10, 2025, was marked by cautious trading, tariff headlines, and central bank watchfulness. Investors weighed fresh trade developments and awaited additional key economic data. The major U.S. equity indices ended the week slightly lower, except for the Russell 2000, which broke recent winning streaks and reflected a market searching for direction amid persistent policy and geopolitical uncertainty.
By Charles Brown, IIIThe week ending May 10, 2025, was marked by cautious trading, tariff headlines, and central bank watchfulness. Investors weighed fresh trade developments and awaited additional key economic data. The major U.S. equity indices ended the week slightly lower, except for the Russell 2000, which broke recent winning streaks and reflected a market searching for direction amid persistent policy and geopolitical uncertainty.