
The U.S. government's fiscal year-end on September 30, 2025, could send shockwaves through stocks, ETFs, and futures markets. Driven by budget finalizations, debt ceiling battles, and the looming threat of a government shutdown, this period will create clear winners and losers. Professional traders and investors should consider preparing now for the fallout and opportunities starting October 01. The upcoming content will outline the definitive market impacts, backed by complex data, to equip you with actionable insights.