Global Market Weekly Recap: January 6 – 10, 2025


Traders had plenty to chew on during the first full trading week of 2025, with financial markets getting cues from tariffs-related headlines, leading U.S. jobs indicators, and Fed policy biases.

Risk assets were mixed, though, as gold and oil took advantage of safe-haven flows from global uncertainties, while bitcoin and equities were being sold all week. 

Here are the latest headlines and economic updates that pushed asset classes around:

Here are the latest headlines and economic updates that pushed asset classes around

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