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Summary:Donald Trump asserts that his current poll numbers are the highest he has ever achieved, reaching into the 60s and 70s, despite what he describes as "Fake News" reporting, and concludes with a campaign slogan.
Sentiment:Campaigning
Key Claims:
  • Highest poll numbers ever achieved
  • Current poll numbers are in the 60s and 70s
  • "Fake News" is broadcasting/writing information contrary to his high poll numbers
  • Call to action: MAKE AMERICA GREAT AGAIN!!!
Potential Market Impact (S&P 500):1/10

The post discusses political poll numbers and media criticism, which are general political sentiment indicators. It does not mention specific companies, economic policies, or contain rhetoric that would directly and immediately impact the S&P 500 beyond general political background noise.

Potential Geopolitical Risk:0/10

The post focuses exclusively on domestic poll numbers and media criticism, with no explicit or implicit references to international conflict, foreign policy, or military action.

Potential Global Cross-Asset Impact:1/10
  • Commodities: Unlikely to have a direct or immediate impact on Gold (XAU), Oil (WTI), Silver, or Copper, as the post does not address economic policy, supply chains, or geopolitical risks relevant to commodity markets. Short-Term Watchlist: No direct impact expected. Medium-Term Focus: No direct impact expected.
  • Currencies (Forex): Unlikely to significantly influence the US Dollar Index (DXY) or major currency pairs like USDJPY, EURUSD, and USDCNH, as the post focuses on domestic poll numbers without explicit monetary policy or economic drivers. Short-Term Watchlist: No direct impact expected. Medium-Term Focus: No direct impact expected.
  • Global Equities: Negligible direct impact on S&P 500, Nasdaq, STOXX 600, Nikkei 225, or Hang Seng. The post's focus on domestic poll numbers does not convey new information regarding corporate earnings, sector performance, or broader economic risk that would move global equity markets significantly. Short-Term Watchlist: No direct impact expected. Medium-Term Focus: No direct impact expected.
  • Fixed Income (Bonds): Minimal direct impact on US 10Y and 2Y yields or credit spreads. The content does not touch upon monetary policy, inflation expectations, or fiscal health. Short-Term Watchlist: No direct impact expected. Medium-Term Focus: No direct impact expected.
  • Volatility / Derivatives: Unlikely to cause a spike or compression in the VIX or impact options positioning, as the post lacks specific market-relevant information or significant uncertainty drivers. Short-Term Watchlist: No direct impact expected. Medium-Term Focus: No direct impact expected.
  • Crypto / Digital Assets: Unlikely to have a direct impact on Bitcoin (BTC) or other digital assets. The post does not relate to macro liquidity, regulatory developments, or significant shifts in risk appetite that typically move crypto markets. Short-Term Watchlist: No direct impact expected. Medium-Term Focus: No direct impact expected.
  • Cross-Asset Correlations and Systemic Risk: No discernible impact on cross-asset correlations or signs of systemic market stress are expected, as the post does not contain information capable of triggering such events. Short-Term Watchlist: No direct impact expected. Medium-Term Focus: No direct impact expected.
  • Retail Sentiment / Market Psychology: Unlikely to directly trigger significant retail speculation in specific assets like meme stocks or altcoins. The post is political in nature but lacks the specific market catalysts that typically drive such retail-led movements. Short-Term Watchlist: No direct impact expected. Medium-Term Focus: No direct impact expected.
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