Markets Navigate Oil, Fed and Tariff Risks episode artwork

EPISODE · Jul 23, 2026 · 10 MIN

Markets Navigate Oil, Fed and Tariff Risks

from Market Watch · host BFM Media

Investors are balancing a resilient US economy against rising geopolitical and policy risks, with higher oil prices, shifting Federal Reserve expectations, and renewed tariff uncertainty all shaping market sentiment. Semiconductor stocks have rebounded after a sharp sell-off, but questions remain over whether the recovery can be sustained. As markets head into a pivotal period, what should investors be watching across equities, commodities, and monetary policy?Image Credit: ShutterstockSee omnystudio.com/listener for privacy information.

Episode metadata supplied by the publisher feed · Published Jul 23, 2026

Embed this episode

NOW PLAYING

Markets Navigate Oil, Fed and Tariff Risks

0:00 10:52

No transcript for this episode yet

We transcribe on demand. Request one and we'll notify you when it's ready — usually under 10 minutes.

No similar episodes found.

No similar podcasts found.

Frequently Asked Questions

How long is this episode of Market Watch?

This episode is 10 minutes long.

When was this Market Watch episode published?

This episode was published on July 23, 2026.

Can I download this Market Watch episode?

Yes. Use the download control on the episode player to save the publisher-provided media file.
URL copied to clipboard!