Financial markets are predicted to derisk, with investors taking profits and reducing exposure, by the end of July 14, 2025, ahead of the CPI report and due to announced tariffs.
"So, I want to see if markets begin to derisk because they pumped up for no reason. Tar tariffs have still been announced, especially to Mexico and to Canada. Tariffs are being announced all over that are supposed to be collected August 1st. That's never been good news. Yet, markets are still trying to recover. So, we're back retesting same previous highs. I want to see if markets begin to derisk into the close. People beginning to take profits or reduce their exposure into the market close."