♻️ MARKET WATCH: $200B TARIFF RISK IN FOCUS 🚨
U.S. markets are getting tense as the Supreme Court reviews the legality of Trump-era tariffs, introduced under emergency authority and responsible for over $200B in collections.
If the court pushes back, the fallout could be big:
💸 Possible refunds to corporations already challenging the policy
🛍️ Short-term relief for some consumer & retail stocks
⚠️ Long-term pressure on government finances
Add in ongoing shutdown concerns, and the macro picture is flashing warning signs:
📈 Rising bond yields
⚡ Increased volatility across assets
🎯 Fast repricing of downside risk
🗓️ With a decision potentially landing around Feb 20, 2026, markets aren’t waiting for the headline — positioning has already begun.
🔒 Bottom line: Hedge smart. Volatility is back on the radar.



