1. Optimist or not?
I lean realistic optimist — I expect volatility, but over time markets tend to grind higher.
2. October outlook?
Most likely a rally continuation with shallow pullbacks—unless macro surprises (Fed, jobs, geopolitics) trigger a sharper correction.
3. September movers?
The big trades were TSLA swings, AAPL dip-buy chatter, NVDA’s momentum, and BABA’s China policy bounce. Even if you didn’t catch them all, just one could’ve been a strong win.
4. Beating the market YTD?
If you were overweight tech/AI or played the rebounds smartly, beating the S&P has been doable. But a broad, index-style portfolio is still tough to outperform consistently.
# FOMC Minutes Amid Shutdown! Is Fed Ready to Go Further?

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