$S&P 500(.SPX)$  Global markets remained shaky as recession fears, Fed policy uncertainty, and trade tensions dominate headlines. The S&P 500’s recent correction (down over 10% from peaks) has investors questioning whether the rebound is sustainable or if deeper losses loom.

Key Drivers of the Selloff:

Recession Risks: Analysts at Morgan Stanley and the New York Fed warn that rising unemployment and slowing growth could tip the economy into contraction.

Fed Policy Whiplash: Markets now price in rate cuts later this year


# Is a Double Bottom Coming for S&P 500?

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