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Market stress signals are flashing bright

Global equity markets experienced a significant downturn due to tariff concerns, triggering stress across financial markets. Investor risk aversion is nearing levels seen during the 2022 interest rate hikes, with the VIX volatility index surging. Increased dollar demand, widening junk bond spreads, and declining bank stocks further indicate market turmoil, reflecting growing pressure in the U.S. bond market.
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