📉 September 2025: what to expect from the financial markets? September is historically one of the most difficult months for investors, with a negative seasonality that often brings corrections on actions and bonds. In this episode we analyze the main assets in depth:
- S&P 500 in the consolidation phase with the risk of correction between 5 and 10%.
- Italian Mib index ballast and spread, with uncertain prospects for banks and utilities.
- World bonds under pressure, with American Treasury above 4.3-4.5% and vulnerable BTP over 160-180 basis of spreads.
- Gold near historic highs as a good refuge.
- Oil oscillating between geopolitical tensions and weak demand.
- Cryptocurrencies and bitcoins struggling with strong volatility and growing correlation with traditional markets.
👉 A month of high financial tension, to be faced with caution, diversification and defensive strategies. 💬 Write your predictions in the comments for September 2025 and let me know which assets you are aiming! 🔔 Subscribe to the channel not to miss the next updates on economics, finance and investments.
