The Federal Reserve’s upcoming rate decisions are poised to significantly impact global financial markets, with potential shifts in asset allocations and cryptocurrency market dynamics anticipated. As the U.S. stock market enters a critical period beginning September 10, 2025, alongside significant employment data releases, investors will closely monitor these events for their implications on global investment trends. Experts anticipate these key factors could influence market sentiment and risk management as the Fed navigates a moderate rate-cutting cycle after a prolonged pause. While cautiousness remains prevalent in investor responses, some analysts foresee S&P 500 fluctuations before any recovery.