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The markets had a rough week with concerns over a slowing economy. Poor jobs numbers, souring sentiment, and stubborn inflation have the market pricing in three rate cuts before the end of the year. While this typically should be good for markets, the reasons behind it are not. Tony discusses this macro backdrop and shares a bullish opportunity in retail.
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By Fidelity Investments4.3
1212 ratings
The markets had a rough week with concerns over a slowing economy. Poor jobs numbers, souring sentiment, and stubborn inflation have the market pricing in three rate cuts before the end of the year. While this typically should be good for markets, the reasons behind it are not. Tony discusses this macro backdrop and shares a bullish opportunity in retail.
View transcript
Options Disclosure Document

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