#MarketRebound U.S. rebound underway: Since early April, the S&P 500 has surged ~20–23% , triggered by relief over U.S.–China tensions and optimism around dovish Fed rate cuts .

Institutional optimism vs caution:

Ratios like State Street’s Risk Appetite Index are nearing record highs—some see this as a catalyst for a “melt‑up,” while others warn of a short‑term top .

Technical & fundamental backdrop: Q2 rebound is in line with historical patterns—momentum indicators have climbed from oversold levels, although some analysts caution gains could stall into late‑Q3 .