Cosmic Crisis Ahead: Stock Market Calm Before the Storm (June–Nov 2025)”

"Durbhiksha 2025: Astrological Warning for a Global Financial Meltdown"

by astrodocanil
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Cosmic Crisis Ahead: Stock Market Calm Before the Storm (June–Nov 2025)””

Celestial Warning: Will the Markets Survive Saturn’s Retrograde and Jupiter’s Acceleration?”

📉 Phase 1: April 24 to June 7, 2025 – Build-up to Volatility

🔹 Planetary Indicators:

  • Jupiter in Mrigashira and transitioning into Ardra Nakshatra (Rahu’s star) from June 15, 2025: This shift marks a dangerous exchange of energy between Rahu and Jupiter, creating a Chandal Yoga. Ardra is symbolically linked with storms, destruction, and transformation—highly explosive for speculative markets.

  • Mercury Direct in Pisces and then Aries: Mercury’s transition from a debilitated watery sign (confused communication, misjudged financial moves) into fiery Aries (rash decisions).

  • Mars approaching Ketu from Cancer → Leo (June 7): Market tension will rise in the last week of May and early June . Foreign policy, war threats, and sanctions can cause sectoral turbulence—particularly in energy, defence, and technology.

  • Demon Rahu when afflicted from the June to Nov. 2025 will escalate the down trends in the Stock Markets. I am not giving the dates here

🪙 Market Behaviour:

  • High speculation and deceptive rallies, especially in tech and crypto.

  • False optimism or short-lived gains likely due to Jupiter’s optimistic but Rahu-influenced position.

  • Volatility in oil, gold, and defence stocks due to escalating geopolitical risks.

  • Possible crash triggers or correction alerts between May 28 to June 7, when Mars–Ketu conjunction tightens.


🔥 Phase 2: July 13 to November 28, 2025 – The “Durbhiksha” Period: Financial Crisis or Global Recession

I have  already mentioned this as the “Durbhiksha” window from classics like Bhavishya Phal Bhaskar, and rightly so. Here’s a deeper astro-financial take:

🔹 Key Transits:

  • Saturn Retrograde in Pisces (13 July–28 Nov) and Jupiter in Accelaration mode: Restriction, fear, debt tightening, unemployment spikes. The last leg of Saturn’s transit over the Moon in the U.S. chart (Sade Sati).

  • Jupiter in Ardra Nakshatra (Rahu’s star) from 15th June : Harsh, stormy, emotionally unstable—often linked with chaos, market collapses, and weather-related agricultural disruption.

  • Mars aspecting Retrograde Saturn (July 13–28): Peak danger window for financial institutions, central banks, or debt defaults.

  • Venus combust and retrograde mid-July onward: A classical marker for economic disorder, especially luxury, entertainment, and real estate sectors.

📉 Market Outlook:

  • Sharp corrections or a full-blown bear phase likely.

  • Currency shocks, global bond yield spikes, and liquidity crunches may unfold.

  • Gold, Silver, Oil, and Agri-commodities may rise sharply as “safe havens.”

  • Tech and speculative assets like crypto could crash or get regulated heavily.

  • Possibility of a financial scandal or central bank misstep being revealed (especially in the U.S., China, or EU zone).


🧿 Overall Conclusion:

  • April 24–June 7, 2025: A deceptive uptrend or sideways movement with sudden dips. Traders may get trapped in overconfidence.

  • July 13–Nov 28, 2025: A major downcycle or recessionary wave, fueled by planetary retrogression, Dasha overlap, and karmic “unsettling” in global charts.

🔮 “The karma of economies unfolds under the weight of retrograde Saturn and Rahu’s grip. Only those grounded in wisdom and patience will survive the storm.” — Astrologer Anil Aggarwala


Disclaimer:
The forecasts and insights presented in this article are based on principles of Vedic astrology and are the personal interpretations of Astrologer Anil Aggarwala. They are intended for informational and educational purposes only and should not be construed as financial, investment, or legal advice. Market behaviour is influenced by a variety of complex factors beyond astrology. Readers are advised to conduct their own due diligence and consult with qualified financial professionals before making any investment decisions. The author assumes no responsibility for actions taken based on this analysis.

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