
Market Minute by FS Investments
A weekly recap of equities, fixed income, commodities, and macroeconomic analysis from the FS Investments research team.
To read the full market minute or to sign up for the weekly email, with charts and data, go to https://fsinvestments.com/market-minute
Podcasting since 2024 • 56 episodes
Market Minute by FS Investments
Latest Episodes
GDP down but jobs data holds firm—May 5, 2025
US equities ended April strong with the S&P 500 up 3.1%, driven by easing US-China trade tensions, strong tech earnings, and a resilient labor market. The 10-year yield rose while the probability of a Fed rate cut in June fell, indicating r...
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3:52

Credit recovers—April 28, 2025
US equity markets gained nearly 4% last week, mainly driven by positive signals on tariff policy and strong performance from Alphabet. Overseas, European equities also saw upward movement, while in fixed income, bonds gained and the 10-year yie...
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3:32

Long Treasury yields surge—April 14, 2025
The FS Investments Market Minute for April 14, 2025, recaps a volatile week in equity markets, with the S&P 500 and NASDAQ experiencing significant fluctuations due to trade policy uncertainties and macroeconomic concerns. Despite early-wee...
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3:03

Stocks tank on tariffs—April 7, 2025
The stock market experienced significant volatility due to newly implemented US tariffs, with major indices like the S&P 500 and NASDAQ 100 falling about 8% and the NASDAQ entering a bear market. This decline also impacted tech stocks and t...
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3:56

Stocks slide on data, AI exhaustion—March 31, 2025
This week the increased volatility in the S&P 500, with the VIX ending above 20 due to renewed tariff concerns and negative economic data. The US announced 25% tariffs on imported cars and auto parts, negatively impacting global car makers ...
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3:51

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