Market Volatility Sparks Sector Rotation Debate as Nvidia Earnings Loom
Volatility has returned to financial markets, testing the resilience of this year's bull run. Investors face a critical question: Is this merely healthy sector rotation or the start of a broader risk-off unwind? Keith Lerner of Truist Wealth provides navigation through these turbulent conditions while identifying pockets of stability.
Fixed income markets show surprising vigor, with bonds posting their strongest performance in more than ten years. Meanwhile, all attention turns to Nvidia's upcoming earnings report - the chipmaker once again carries the burden of market expectations on its shoulders, with potential Ripple effects across tech and growth sectors.