#MarketRebound 📈– Global markets are rehearsing a robust recovery in June 2025. The S&P 500 recorded three consecutive days of gains, rising about 21% since the April lows, driven by optimism in the US-China talks about tariffs and exports of strategic minerals.
Small caps are also gaining strength: the Russell 2000 rises about 4% historically in June, and analysts detect attractive valuations and a possible interest rate cut as triggers for further gains.
However, the recovery does not eliminate risks. High valuations, trade uncertainties, and corporate earnings still require caution.
💬 Do you see this rebound as sustainable or just a “dead-cat bounce”? Share your view!
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