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U.S. markets adapt to government shutdown by using alternative data as key economic reports are delayed.
On October 23, 2025, FBS reported that financial markets are adapting to the ongoing U.S. government shutdown, which has halted the release of key economic data like CPI and nonfarm payrolls.
With the Federal Reserve lacking its usual benchmarks, markets are relying on alternative indicators such as Bitcoin, gold, and bond yields to assess economic conditions.
Despite the data gap, global liquidity remains high, and trading continues, suggesting markets are evolving to function independently of official statistics.
The shift marks a significant change in how market participants interpret economic trends amid political disruptions.
Los mercados estadounidenses se adaptan al cierre del gobierno utilizando datos alternativos a medida que se retrasan los informes económicos clave.