The financial system is under extreme pressure. Key events in mid-June 2025 could trigger a major market crash—similar to 2008, but faster and more widespread.
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Key Dates
JUNE 10, 2025 – The Warning Shot
• Government releases inflation numbers (CPI).
• If inflation is high: Wall Street realizes interest rates will stay high.
• If inflation is low: Wall Street sees it as a sign the economy is falling apart.
• Either outcome triggers heavy selling—starting with big tech stocks.
What to expect:
• Market drops 2–4% in a day.
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JUNE 14, 2025 – The Snap
• Huge volume of stock options and futures expire (called “quad witching”).
• If markets are already shaky, this event forces massive sell-offs.
• Selling becomes uncontrollable. Panic sets in.
What to expect:
• Market drops 5–10% fast.
• Retirement accounts, tech stocks, and crypto take big hits.
• Some banks and brokers limit access to funds.
• News goes from “concern” to “crisis.”
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What This Means
• This isn’t just a dip. This is the start of a bigger collapse.
• Once confidence breaks, the selling feeds on itself.
• The Fed can’t stop it quickly without restarting inflation.
• The average person will only realize after it’s too late.
What You Can Do Now
• Reduce exposure to risky assets (tech, crypto, overvalued stocks).
• Keep cash or liquid assets in a safe place.
• Prepare for bank freezes or credit disruptions.
• Watch the markets closely between June 10–14.