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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