After last week’s “Black Friday” turbulence, U.S. markets are poised for another volatile week. Investors will focus on whether the recent selloff marks the start of a deeper correction or just a short-term shakeout. Economic data — particularly retail sales and jobless claims — will guide sentiment on whether the U.S. slowdown fears are justified.

If inflation readings stay contained and the Fed signals patience, equities could stabilise as dip buyers return. However, persistent geopolitical risks and renewed trade tensions may cap any rebound.

Tech remains vulnerable after strong YTD gains, while defensive and precious-metal plays could outperform. Overall, expect choppy trading with sentiment swinging between optimism on policy easing and anxiety over earnings downgrades.

This week’s key question: will investors “buy the dip” again, or brace for another leg down?

# 💰Stocks to watch today?(15 May)

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  • chenobserver
    ·2025-10-13
    Great insights, looking forward to this week! [Great]
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