November 2025 Markets and Factors Report

November was volatile for U.S. Equities before leveling off, as inflation concerns, tariff
pressures, and the fallout from the prolonged government shutdown kept investors
cautious.

Missing economic data added uncertainty to the Federal Reserve’s upcoming policy
decisions, especially with signs of a cooling labor market.
As uncertainty grew, investors shifted away from large tech companies toward steadier
sectors. Global bonds were relatively calm, supported by expectations of easing policy,
though concerns about future Treasury supply and unclear economic signals limited
overall optimism.

 

Download the full report

 

 

Back to Blog

Related Articles

Q1 2025 Market Commentary

Overview In the first quarter of 2025, global markets navigated a landscape marked by significant...

Q4 2025 Markets & Factors Report

U.S. markets demonstrated notable resilience in Q4 2025, navigating challenges including a...

Q3 2025 Commentary

Overview: Markets appreciated in Q3 2025, led by trade tensions subsiding, artificial intelligence...