Week In Review – April 7th – April 11th, 2025 – U.S. Markets tumble

Week in Review | April 7–11, 2025 | Market Recap by Fred Razak – CM Trading Senior Trading Strategist

Markets went wild after President Trump’s new tariffs triggered a global sell-off.
Gold hit record highs, the U.S. dollar weakened, and stocks sold off across the board — with some late recovery.

We also preview key events for next week: earnings from Goldman Sachs, Bank of America, Citigroup, and Netflix, plus CPI data and central bank decisions from the U.S., UK, Canada, and EU.

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