If a Bear Market Is Coming, History Says the Smartest Investors Are All Making This 1 Move Right Now
Investors are split on whether a bear market is coming, but all agree on the best move to make right now.
63 independently detected trends connected to this subject, with the latest coverage first.
This hub groups 63 separate news trends connected to Market Volatility, spanning June 22, 2026 through August 30, 2026. Each event page combines source coverage, attention velocity and a time-stamped explanation instead of treating every headline as a separate story.
The record below represents 576 article observations and 477 source signals, led by Business, World coverage. Use it to compare how individual events emerged, spread and changed over time.
Investors are split on whether a bear market is coming, but all agree on the best move to make right now.
The Iran war's six-month mark reveals economic impacts on everyday consumers.
Citadel Securities has reversed its stance on long bonds, sparking a wave of market analysis and speculation.
U.S. dollar climbs on fresh Iran sanctions while the Canadian loonie slips after new U.S. tariff threats.
Western Digital's stock has surged this year, but recent volatility has investors wondering what's next.
Investors cling to a flat market as Nvidia’s earnings and a key inflation report loom, making the chipmaker the week’s biggest bet.
Bitcoin's price defied expectations, surging past $67,000 in a single afternoon due to a Treasury move.
Trump's crypto push and Treasury Secretary Bessent's bond-buyback plan are moving markets in unexpected ways.
AI‑focused tech stocks tumble, pulling U.S. futures lower as Nvidia earnings and policy signals loom
Oil prices have dropped in anticipation of new U.S. sanctions on Iran.
Investors are seeking out monthly dividend stocks as a reliable source of income, despite market volatility.
South Korean investors are chasing high-yield bonds despite recent market volatility.
Flat Asian markets, a $35 billion SanDisk shake‑up, and the triple‑headliner of PCE data, Nvidia earnings and Jackson Hole converge this week.
Warren Buffett and Greg Abel's $175B warning is stirring Wall Street.
The Schwab U.S. Dividend Equity ETF (SCHD) has outperformed the S&P 500 by 12 points, its largest margin ever.
The Treasury market's reputation as a safe haven is under scrutiny, with investors questioning its reliability.
Quant hedge funds suffered their worst day in two years on August 20, 2026.
US stock indices closed lower as a combination of rising Treasury yields and surging crude oil prices triggered a broad market sell-off.
The Treasury Department's aggressive bond buybacks have sent bond yields plummeting and the Dow soaring, reshaping market dynamics.
Stock investors face potential volatility as analysts highlight historical seasonal weakness and political uncertainty surrounding upcoming midterm elections.
Investors are chasing a rally while the market's fear gauge stays quiet, despite a 6% oil price jump.
A strategist warns of multiple AI bubbles as spending surges but profits lag
Jane Street's $15 billion loss is reshaping the trading landscape as the firm's AI-driven strategies face scrutiny.
Bond yields are surging, driven by AI, and markets are bracing for impact.
The Korean stock market's AI-driven surge has reversed, leaving investors reeling from unprecedented losses.
Asian markets show mixed performance as investors navigate fluctuating oil prices and upcoming U.S. inflation data.
Investors are holding their breath as the upcoming CPI report could signal future rate hikes and market volatility.
Three energy stocks have maintained uninterrupted dividends for decades, drawing investor attention.
Oil prices have surged to $90 a barrel amid a U.S.-Iran stalemate, while the Dow Jones Industrial Average has seen volatility.
Wall Street's rally is accelerating, but traders are also taking on more risk.
Jim Cramer's latest investment themes are drawing attention as earnings season peaks.
Investors are rotating out of memory stocks despite strong earnings, focusing on valuation gaps between major players.
Investors brace for a $225 billion swing in SpaceX's value as the company's first earnings report approaches.
Citadel Securities identifies four signs that July's market volatility was a healthy correction for the bull market.
Marvell Technology's stock price is the subject of intense speculation as it fluctuates.
Investors brace for AMD's Q2 earnings report amid volatility in the chip sector
The KOSPI's volatility is sparking a shift in investor sentiment, with JOMO overtaking FOMO.
Jupiter Quant Fund has dropped more than 40%, as AI-related losses ripple through hedge funds.
Tech stocks have slumped in July, with AI and memory stocks leading the selloff.
Leopold Aschenbrenner's AI hedge fund, once valued at $45 billion, is in turmoil after a near-collapse.
Investors eye European AI stocks as market volatility and chip trade shifts create buying opportunities.
Global markets face a dual shock as oil prices hit $100 per barrel and President Trump implements a new round of global tariffs.
Wall Street indexes are falling as traders weigh geopolitical tensions and earnings reports.
Analysts warn of a potential 'Lehman Bros. moment' for the AI bubble as OpenAI reports massive quarterly losses.
SK Hynix shares fall over 11% as a broader semiconductor selloff impacts Asian markets and follows a trend of tech losses in the United States.
SK Hynix's stock volatility highlights shifting investor sentiment in the AI-driven memory chip sector.
Oil prices fluctuate amid geopolitical tensions and economic concerns
Financial media is focusing on Warren Buffett's recent public warnings as volatility impacts stock market performance.
Iran faces internal transition and external conflict as it begins funerals for its supreme leader amid a broader Middle East war.
Oil prices have defied expectations, leaving Wall Street scrambling to adjust.
Chip stocks are closing a record quarter with dramatic price movements.
Market analysts are noting a pattern of U.S.-Iran escalations occurring during market closures.
Investors are drawing parallels between semiconductor stocks and silver as volatility rises
Investors are increasingly worried about the leverage driving the US stock rally.
Gold prices hover near $4,000 as market sentiment and economic indicators drive volatility.
Asian stock markets are sliding as tech shares slump and AI-driven rallies face a sharp correction.
The Nasdaq has fallen for four consecutive days as a slump in Apple offsets strong earnings growth from Micron.
TSMC is seeing divergent analyst perspectives as the Asian stock rebound slows and AI chip demand persists.
The S&P 500 and Nasdaq have experienced significant declines amid a global chip rout, with tech stocks leading the selloff.
A volatile period for AI-linked stocks sees a global tech sell-off followed by a sharp rebound triggered by Micron's blockbuster earnings.