Global Market Weekly Recap: October 14 – 18, 2024


The usual market correlations appeared to be out of sync throughout the week, as asset classes were driven by more by individual catalysts than broad market themes.

Still, some risk-off vibes were seen due to the lackluster reaction to China’s early week stimulus announcement and persistent geopolitical tensions. Meanwhile, U.S. markets appeared to draw support from rising odds of a Trump presidential win.

How did these headlines affect the major assets this week? Let’s break them down:

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