Daily Market Analysis: Recent Episodes

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Geopolitical angst following reports that the U.S. and China are pursuing protectionist policies; Gold prices fall slightly after FOMC minutes; European stocks extend losses

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European stock markets were muted on Tuesday: the FTSE MIB eased from 14-year high; French stocks ended slightly lower

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Some megacap stocks rolled over, weighing on broader market - Strength from some bank stocks that announced capital return plans on Friday following the stress test results

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UK Shares Snap 5-Day Winning Streak; Russian Shares Extend 14-Month High; European Stocks Start Week in Negative Territory

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Treasury yields rising despite the University of Michigan Consumer Sentiment Survey reflecting a sharp drop in year-ahead inflation expectations to 3.3% from 4.2%

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Wall Street Ends Higher - S&P 500 climbing past 4,400; Russian stocks extend 14-month high; US natural gas prices rise to 3-week high

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Wall Street Ends Higher after CPI Report; Baltic Exchange Dry Index at 2-Week High; Crude Oil WTI is up by 4.01%

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Wait-and-see mode ahead of busy week of potentially market-movingevents; S&P 500 maintaining a position above 4,300; Mixed action in the Treasury market

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Falling market rates acting as added support for mega caps and growth stocks; US Treasury Yields Retreat after Claims Report; The Eurozone economy is entering recession

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Rising Treasury yields, Weakness in mega cap stocks, Pro-cyclical vibe, DXY steady on inflation, Fed next week; The Turkish lira hit a new record low

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Growing sense that mega cap stocks are overbought on a short term basis and are due for a pullback; Russian Budget Deficit Remains at Record High; Global Supply Chain Pressure Index Hits Record Low

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Rising oil prices after Saudi Arabia said it will voluntarily cut its own production by one million barrels per day; US Stocks Slip; Gold Prices Edge Up after ISM Services Data

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Falling Treasury yields - The S&P 500 Hit 40-week High; European Stocks Rebound from 2-Month Low

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Reacting to mixed reports that a debt ceiling deal may be imminent, yet support from party members on both sides of the aisle is not guaranteed

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Reacting to mixed reports that a debt ceiling deal may be imminent, yet support from party members on both sides of the aisle is not guaranteed

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The debt ceiling is at the forefront of market participants' minds: US stocks extend losses; Treasury yields rise; The pound falls to a one-month low

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Punchbowl News reporting that debt ceiling talks have stalled and CNN reporting that Treasury Secretary Janet Yellen told bank CEOs that more mergers might be needed around the same time

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Wall Street is struggling for traction; Gold rose above $2010; WTI crude oil futures fall to a 5-week low; Sharp decline in Treasury yields, reflecting growth concerns

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Many stock markets worldwide are closed; The dollar climbs to its highest level so far this month; US futures paring losses after jobs report

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Dow Jones equalizes losses, Nasdaq outperforms; European stock markets rise ahead of Easter; Due to Good Friday, many stock markets will be closed today.

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US stocks ended Wednesday with a mixed performance: a weaker-than-expected ADP Employment Change Report and a widening trade deficit stoked fears of a global economic slowdown; Oil stabilized as traders evaluated the outlook.

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Concerns about a US economic slowdown followed February JOLTS job openings and factory orders data that were weaker than anticipated; European stocks edged higher on Tuesday, and Treasury yields declined.

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OPEC+ announcing a surprise 1.16 million barrel per day production cut starting in May and to last through the end of 2023; European stock markets are down cautiously; Treasury yields moving lower

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European equities rise on signs of easing inflation; US stock futures extend gains; Pullback in Treasury yields; DXY facilitates some gains, heads for a monthly decline

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S&P 500 extending position above 50-day moving average (4,017) - some hesitation ahead of the latest inflation reading tomorrow in the form of the February PCE Price Index; European Stocks Extend Gains for 2nd Session

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Banking worries continue to ease following the Congressional hearing on the SIVB bank failure; S&P 500 found support near the 4,000 level and lifted above  its 50-day moving average

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Treasury yields are moving higher and the U.S. Dollar Index is weakening. European stocks close flat after an uncertain session; 

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Bank stocks leading upside charge after news of First Citizens BancShares (FCNCA) buyout of Silicon Valley Bank (SIVB); Treasury yields move higher, reflecting the change in sentiment in the market

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Wall Street Books Weekly Gain, Despite Banks' Concerns; Deutsche Bank's credit default swaps shot to a four-year high;  Banks drag European equities lower - Bond yields in Europe plummet due to risk aversion

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Reacting to more central bank rate hikes from the likes of the Bank of England, Swiss National Bank, and Norges Bank; Falling Treasury yields; Turkish stocks are down nearly 12% so far this year; S&P 500 running into resistance at the 4,000 level

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US Stocks Tumble After Fed Raises Rates - 10-Year US Treasury Yield Falls to Near 6-Month Low; Gold and Euro Gains after Fed

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US Bank stocks outperforming, leading the market higher - Treasury Secretary Yellen's remarks that  the government is prepared to intervene again "if smaller institutions suffer deposit runs that pose the risk of contagion

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S&P 500 finding support at its 200-day moving average (3,935), Treasury yields move higher as flight to safety unwinds; European stock markets rebound; Uranium slides to near 2-month low

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US Regional bank stocks are under pressure again after First Republic Bank (FRC ) provided a cash position update and suspended its dividend; Eurozone inflation rate confirmed at 9-month low; 10-year German bond yield stabilizes at around 2.3%

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ECB raises rates to be new 14-year high - German 10-year bond yields are down after the ECB; Repricing a 25-bps rate hike at the March FOMC meeting following the ECB's decision to raise rates by 50 bps

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Swiss National Bank released a statement about Credit Suisse; Dow and S&P 500 collapse due to the Credit Suisse crisis, Sell-off of European banks led by Credit Suisse, and Flight to safety bid sending Treasury yields lower.

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European equities rebound from 2-day selloff; US inflation rate falls to 6% as expected; Crude Oil Drops 5%; DXY climbs after inflation data

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Wall Street Closes Mixed As SVB Collapse Rattles Banks; Treasury yields continue to fall in flight to safety trade; European Banks Have Worst Day in Over a Year; Rethinking the Fed rate hike at the March FOMC meeting.

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Dollar lowers after mixed payrolls; European natural gas prices rise by 21%; European equities closed 1.5% lower; Oil is regaining some traction, still poised for a sharp weekly decline;

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European stocks fell on worries about a rate hike; Carbon prices in the EU are once again above €100; Brent crude rebounds; DXY decreases from 3-month high

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Fed Chair Powell told the Senate Banking Committee that "the ultimate level of interest rates is likely to be higher than anticipated." Expectations increase for 50 bps rate hike at March FOMC meeting

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European stock exchanges changed little on Monday; Russian Budget Deficit Widens in February; Brent Crude Futures Bounce Back Above $86; US Natgas Prices Fall the Most in 12 Weeks

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Wall Street Heads for Weekly Gain, Dow Rallies 300 Points; US Natgas Prices Jump 8% to 5-Week High; Crude Oil Falls 2%; UK 10-Year Bond Yield at Over 4-Month High; German Bund Yield Eases from Over 11-Year High

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Positive reaction to Atlanta Fed President Bostic (2024 FOMC voter) saying he favors a 25-basis points rate hike in March; Dollar strengthens after the release of jobs data: European equities close higher

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Comments from Minneapolis Fed President Kashkari (2023 FOMC voter) and Atlanta Fed President Bostic (2024 FOMC voter) stoking concerns about rate hikes

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Wall Street falls, the monthly book falls, US Treasury yields pull back noticeably, and the 10-yr note yield holding below 4.00%, has been somewhat supportive

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Wall Street and European Stocks Starts Week on Positive Note; Euro Approaches $1.06 as Investors Reposition for Further Rate HikesSilver Drops to 4-Month Low; German 10-Year Bond Yield Tops 2011-Highs

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The US Core-PCE Price Index reflects sticky inflation, stoking concerns about the Fed taking rates higher for longer than the market previously expected; The yield on the 10-year German bond rises towards an 11-year high

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Baltic Exchange Dry index extends rally into day five; Turkey cuts interest rate by 50 basis points; Turkish lira stable at a historical low after TCMB; European natural gas prices are around 50 euros; Euro weakens to 7-week low

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Increased geopolitical tension between U.S. and China, and between the U.S. and Russia regarding the Ukraine war; Wall Street Selloff Continues, Dow Sheds 700 Points; Oil prices under renewed pressure

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St. Louis Fed President Bullard (non-FOMC voter) said that his target rate, for now, is 5.375%, that the U.S. economy is stronger than the Fed thought, and that the market may be overpricing the risk of a recession in the second half of 2023

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Natural gas prices in Europe rise above 50 euros; US Natural Gas Futures Extend Losses to 28-Month Low; European Shares Muted in Choppy Trade; Lithium Sinks to 1-Year Low; Steel Approaches 7-Month High

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European stock markets fell on Friday as a strong unemployment report, and warmer-than-expected PPI data from the US revived fears that the Federal Reserve will remain aggressive for longer.

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St. Louis Fed President James Bullard (not an FOMC voter) said that he wouldn't rule out supporting a 50-basis point rate hike at the March FOMC meeting, adding that he advocated for a 50-basis point rate hike at the Feb. 1st meeting

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The recent rise in market rates fueling worries about valuation constraints and competition for stocks; Eurozone Industrial Production Falls 1.1%; Gold is approaching a six-week low

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US stocks finish mixed after January CPI report; Dollar stable near one-month high; 10-year US Treasury yield approaches 3.8%; MOEX Posts Worst Day in Two Months

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European stocks start the week on a positive note; Buyers stepping in after S&P 500 breached 4,100; US Consumer Inflation Expectations Steady at 5%; Baltic Exchange Dry Index climbs to more than 1-week high;

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Treasury yields remain elevated, keeping pressure on equities; Rising oil prices after Russia said it would cut its production by 500,000 barrels per day in March in response to international sanctions

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The sense that the US market is overextended short term and due for a consolidation period; Rising Treasury yields - 10-year Turkish bond yield at 11.2%; Gold production in South Africa falls the least in 11 months

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The sense that the US market is due for consolidation driving broad retreat effort - Mixed reactions to corporate news; Huge loss in Alphabet on concerns the company is behind in the AI space, dragging on the overall market

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Wall Street closes higher after Powell's speech; S&P 500 defends the 4,100 level, triggering short-covering activity; US Crude Oil Inventories Unexpectedly Fall - the price jump 3%

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European stocks start the week lower; Turkey's 10-year bond yield is at 10.8% while the Turkish lira remains at a record low; Geopolitical angst following reports that the U.S. shot down a suspected Chinese spy balloon

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Turkish inflation rate drops to 11-month low; European stocks rise; FTSE 100 hits all-time high; Stronger than expected January US jobs report has the market questioning the path forward for Fed rate hikes.

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The ECB raises rates and signals a 50 bp hike in March - EU stocks rise to a more than 9-month high; Bank of England raises rates for the 10th time; 10-year US Treasury yield is near a five-month low: Crude oil extends losses

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Hesitation ahead of the FOMC policy decision and Fed Chair Powell press conference with investors keenly focused on the tone Mr. Powell takes about the Fed's path forward - US 10y Treasury below 3.5%

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The Fed is expected to raise rates by minus 25 basis points - broad buying interest,  falling US Treasury yields, and weakening dollar; European stocks subdued ahead of policy meetings

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Major central banks are proposing another rate hike; Gold cools off after extending lengthy weekly winning streak; Baltic Exchange Dry Index breaks 9-day losing run;

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European Stocks and Wall Street ends the week on a positive note; Silver prices stable near $24; WTI Crude falls below $80; Gold edges down from a 9-Month high

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The Baltic Dry index falls for the seventh session; US stocks slide as weak earnings weigh; The BoC raises the rate and signals the end of the tightening; German business climate improves for 4th month; Turkish business confidence at 5-month high

The Baltic Dry index falls for the seventh session; US stocks slide as weak earnings weigh; The BoC raises the rate and signals the end of the tightening; German business climate improves for 4th month; Turkish business confidence at 5-month high

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European stock markets are down on fears of a rate hike; The Baltic Exchange Dry Index is down for the sixth day; Turn lower in Treasury yields; Some increased selling interest after a big run recently on US stocks

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The ECB decided to raise rates by 50 basis points in February and March; The latest NABE survey of businesses indicated there is a 56% possibility that the U.S. economy is already in, or will be in, a recession in 2023

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Wall Street Ends in Green on Tech Rally; Oil is heading for its second weekly gain; Gold is approaching 9-month highs; Turkish 10-year government bond yield close to 2015 lows

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European stocks down from 11-month highs; Turkish stocks rebound to stay close to record levels; Turkish lira remains at a record low after the rate decision - keeps interest rate at 9% as expected; Brent crude hovers near $86

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SF Fed President Daly (non-FOMC voter) said that the February rate hike could be either 25 or 50 basis points and St. Louis Fed President Bullard (non-FOMC voter) said he would prefer that policymakers stay on a more aggressive path

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Bitcoin hits four-month peak; European equities rebound to new multi-month highs; US stock markets under pressure;  Baltic Exchange Dry index hits 2020 low; Gold exceeds $1,900 an ounce

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European equities extend 2023 rally in thin trade; Lowest European natural gas prices in 1-1/2 years; Gold is approaching 9-month highs; Turkey budget deficit narrows in December

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European stock exchanges at 9-month highs; Madrid shares close at 8-month highs; FTSE 100 closes just below the record, records second weekly gain; The Baltic Exchange Dry index falls to a low of more than 1.5 years

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Digesting the December US Consumer Price Index (CPI), which showed that services inflation did not improve; S&P 500 pushing past its 200-day moving average at 3,984; Choppy action in the Treasury market

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Hope that the economy will avoid a "hard landing" scenario; Electricity prices in Germany remain low; Turkey current account gap widens less than expected in November; 10-year US Treasury yield rebounds above 3.6%

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Gains in many mega-cap stocks help to bolster US indexes performance; Microsoft took center stage after announcing plans to invest $10 billion in OpenAI, the company behind the hit ChatGPT

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Comments from SF Fed President Daly (not an FOMC voter) and Atlanta Fed President Bostic (not an FOMC voter) indicating the Fed may raise rates as much as previously feared

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Positive reaction to the better-than-feared December US Employment Situation Report; 10-year Treasury yield falls below 3.6%; French shares close at an 11-month high; Oil ends the week down 8%

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Stronger-than-expected US labor data, paired with weak trade data, stoked concerns about the Fed continuing on its rate hike path and the potential for a policy mistake

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Lingering concerns about a weakening economic environment after a series of sub-50.0 (the dividing line between expansion and contraction) manufacturing PMI readings for December out of Asia and Europe

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Encouraging inflation data in Europe supports peak inflation thesis; Sterling hovers near one-month low; Gold holds near 7-month high; Turkish government bond yields close to 2015 lows

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Bank holidays in many countries; Euro Close to Seven-Month Highs to Start the Year; European Stocks Start 2023 on a Positive Note; Turkey Manufacturing PMI Highest in 6 Months

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Thinner holiday trading conditions - Many stocks reversing early gains with no news catalyst; Rising Treasury yields; Oil Extends Retreat; Cotton prices to end 2022 nearly 25% lower

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European stocks rise as China eases Covid brakes; Oil also increases on China Covid shift and US storm

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Thinner holiday trading conditions - Bank Holiday in many countries, Steel approaches 4-Month high

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Thinner holiday trading conditions; European natural gas prices point to a sharp 33% weekly loss; US stocks closed higher on Friday; the Baltic Exchange Dry index fell for the 2nd day, after the biggest drop since 2015

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Influential hedge fund manager David Tepper told CNBC that he is leaning short the equity market because he believes central banks will keep tightening and that rates will remain high for a while

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Better-than-expected consumer US confidence data for December adding fuel to the rally effort; Stocks in Turkey hit an all-time high; Japanese stocks extend fall after BOJ move

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The surprise move by the Bank of Japan to allow the 10-yr JGB yield to move +/- 50 basis points from 0.00% versus its prior band of +/- 25 basis points precipitated a big move in the yen and sovereign bond markets

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US sovereign wealth funds, pension funds, and balanced mutual funds could sell up to $100 billion of stocks over the last few weeks in December in a rebalancing effort

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US stocks fall for the second week; 10-year US Treasury yield rebounds above 3.5%; US Natural Gas Diving 6%; Central Bank of Russia holds key rate at 7.5%

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Concerns about central banks raising rates into a deteriorating global economic environment and the adverse impact on earnings growth following a litany of rate hikes overnight and this morning

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The Fed offers a lower rate hike of 50 basis points; S&P 500 pushes above its 200-day moving average at a level of 4032.35; the Dollar rebounds after the Fed rate hike, Gold cuts gains

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Fed at a slow pace of rate hikes; 10-year US Treasury bill nears 3-month low after CPI; The inflation rate in the US slows more than expected; Euro hits 6-month high

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Baltic Exchange Dry Index sees worst day in almost three weeks; Oil higher on supply-side concerns; European stocks struggle for traction

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US Treasury yields moved sharply higher after the PPI report; The price of natural gas in the EU is about 140 euros; Crude Oil dipped 10% in the last week

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European gas prices fall from near 2-month highs; WTI crude futures were trading slightly below $73 per barrel; Baltic Exchange Dry Index hits 4-week high

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U.S. stocks end choppy trade mostly lower; Gasoline hits near one-year low; Baltic Exchange dry goods index near 1-month high

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European stocks end lower on Tuesday; Germany's 10-year bond yield hits lowest in nearly three months; Turkey 10-year bond yields 10.6%; U.S. natural gas falls to 5-month low

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Rising Treasury yields and a strengthening dollar; Gold fell more than 1.5%; The Fed could raise rates above 5% next year due to wage growth and inflation

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US Treasury yields and U.S. Dollar Index pulled back from post-jobs report highs; Turkey's GDP growth slowed sharply in the third quarter; Euro fell below $1.05

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Gold approaches the key 1,800 mark; Oil prices swing; European stocks close near 6-month high

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European stocks end higher on Wednesday; European gas prices rise as inventories fall; Oil rises, but on track for sharp monthly drop

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European carbon prices climb to 4-week high; Yen strengthens, dollar weakens; Turkey's economic confidence falls in November

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Baltic Exchange dry bulk index rises for the fourth straight day; US stocks struggle; Swiss franc nears 3-month high

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Thinner holiday trading conditions on this shortened session; Treasury yields climbing off overnight lows; Dollar building up strengt

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Thinner stock trading conditions on Thanksgiving; Lithium retreats from record highs; EUR holds near 5-month highs

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Fed sees slower rate hikes as appropriate; Baltic Exchange dry bulk index halts 9-day losing streak; Turkish stocks hit a record high in November

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US10-yr Treasury note yield is pulling back, and the dollar is weakening; European gas prices rise for the third day in a row

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Dollar rises on safe-haven demand; Copper continues to fall; Iron ore rises to an 8-week high

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Economic slowdown worries are still in play, manifesting in falling oil and copper prices; European gas prices edge down

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Worries about higher rates leading to further deterioration in the economic environment, which would lead to a decline in earnings growth prospects

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Chinese stocks fall on geopolitical risks; Normal consolidation period at US stocks; Turkish Borsa Istanbul 100 index hit record highs for the third straight session

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Dollar index hits 3-month low; U.S. stock futures rebound; Euro zone stocks hit a 29-week high

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Turkish stocks hit record highs; S&P 500 finds resistance at the 4,000 level; Rising Treasury yields and strengthening dollar

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European stocks have had the best week since March, Germany inflation rate was confirmed at a record high of 10.4%

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Plunging Treasury yields and weakening dollar, big gains in mega-cap stocks bolstering index level gains

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Continued weakness in the cryptocurrency market, fueling concerns about margin calls contributing to some de-risking efforts

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Turkish stock market hits record high; U.S. stocks retreat as China reopens hopes dwindle

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Weakening dollar, Rising treasury yields, US10-yr note yield hitting 4.20%

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Weakness in the dollar, U.S. natural gas rose 7% on Friday, and European stocks ended strong

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Turkey Borsa Istanbul 100 index extends the new record-high - Inflation rate hits 85% in October

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Turkey Borsa Istanbul 100 index extends the new record-high - Inflation rate hits 85% in October

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FOMC decision and Fed Chair Powell's comments at a press conference where he said, "it is very premature to be thinking about pausing

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FOMC decision and Fed Chair Powell's comments at a press conference where he said, "it is very premature to be thinking about pausing

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OLTS Job Openings indicate the labor market remains tight, which undermines the notion that the Fed may take a softer approach after the November meeting

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OLTS Job Openings indicate the labor market remains tight, which undermines the notion that the Fed may take a softer approach after the November meeting

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Profit-taking efforts at month end and hesitation ahead of the FOMC decision on Wednesday

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Profit-taking efforts at month end and hesitation ahead of the FOMC decision on Wednesday

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Generally positive reaction to earnings news; Resilience to selling even as the 10-yr Treasury note yield rose above 4.00%

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Generally positive reaction to earnings news; Resilience to selling even as the 10-yr Treasury note yield rose above 4.00%

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Disappointing quarterly results from Meta Platforms META - other mega caps also trading down

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Disappointing quarterly results from Meta Platforms META - other mega caps also trading down

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Bank of Canada raising policy interest rate by 50 bps versus the expected 75 bps; US10-yr note yield falling towards 4.00%

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Bank of Canada raising policy interest rate by 50 bps versus the expected 75 bps; US10-yr note yield falling towards 4.00%

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Big pullback in Treasury yields - Growing belief that the Fed will soften its approach after the November meeting

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Big pullback in Treasury yields - Growing belief that the Fed will soften its approach after the November meeting

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The US10-yr note yield was pushing towards 4.30%; Heavy losses in Chinese stocks following the reelection of President Xi

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The US10-yr note yield was pushing towards 4.30%; Heavy losses in Chinese stocks following the reelection of President Xi

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The Fed might consider a smaller rate hike at the December meeting after raising 75 bps at the November meeting

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The Fed might consider a smaller rate hike at the December meeting after raising 75 bps at the November meeting

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10-yr Treasury note yield hitting a fresh high for the year; Gains from mega-cap stocks driving index level performance

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10-yr Treasury note yield hitting a fresh high for the year; Gains from mega-cap stocks driving index level performance

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Minneapolis Fed President Kashkari (2023 FOMC voter) said he could see the Fed funds rate going above 4.75%

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Minneapolis Fed President Kashkari (2023 FOMC voter) said he could see the Fed funds rate going above 4.75%

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Rising Treasury yields pressuring stocks; US10-yr yield back above 4.00%

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Rising Treasury yields pressuring stocks; US10-yr yield back above 4.00%

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UK Finance Minister scrapping most of the tax measures from the prior "mini-budget"

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UK Finance Minister scrapping most of the tax measures from the prior "mini-budget"

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Heightened uncertainty around UK markets as the BoE steps back from gilt purchases and PM Truss confirms fiscal stimulus plan

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Heightened uncertainty around UK markets as the BoE steps back from gilt purchases and PM Truss confirms fiscal stimulus plan

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Semiconductors staging an impressive comeback from opening lows

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Semiconductors staging an impressive comeback from opening lows

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S&P 500 testing and finding support at yesterday low

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S&P 500 testing and finding support at yesterday low

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Concerns about financial stability percolate as the BoE sets a hard deadline for gilt market support

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Concerns about financial stability percolate as the BoE sets a hard deadline for gilt market support

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Downside leadership from mega-cap stocks and semiconductors

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Downside leadership from mega-cap stocks and semiconductors

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Rising Treasury yields,  weakness in Mega-cap stocks, and Oil prices surged below $90.00/bbl

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Rising Treasury yields,  weakness in Mega-cap stocks, and Oil prices surged below $90.00/bbl

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Questioning the Fed rate hike narrative after several Fed officials made comments recently

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Questioning the Fed rate hike narrative after several Fed officials made comments recently

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Rebound effort reversed as participants contend with the possibility that Fed will not soften its approach soon

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Reserve Bank of Australia is raising rates by 25 bps instead of the expected 50 bps, fueling hopes that the Fed will take a softer approach to its rate hikes

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Speculation that weak economic data and concerns about financial instability will result in the Fed taking a softer approach

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S&P 500 falling to a new low for 2022; Rising Treasury yields

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Geopolitical tension as President Putin is set to announce the annexation of four Ukrainian territories

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Geopolitical tension as President Putin is set to announce the annexation of four Ukrainian territories

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Bank of England announcing a plan to purchase long-dated UK government bonds in an attempt to "restore orderly market conditions"

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Bank of England announcing a plan to purchase long-dated UK government bonds in an attempt to "restore orderly market conditions"

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Mixed Fed speak for participants to digest - S&P 500 setting new intraday low for 2022

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Mixed Fed speak for participants to digest - S&P 500 setting new intraday low for 2022

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Relative strength from mega-caps boosting index level performance

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Relative strength from mega-caps boosting index level performance

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The UK announced a fiscal stimulus plan, financed through issuing more debt at a time of rising interest rates

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The UK announced a fiscal stimulus plan, financed through issuing more debt at a time of rising interest rates

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Digesting the latest moves by the Fed, which signaled that rates would not come down anytime soon

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FOMC raises rates 75 bps, as expected; Broad buying interest despite the US 2-yr note yield above 4.00%

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FOMC raises rates 75 bps, as expected; Broad buying interest despite the US 2-yr note yield above 4.00%

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Macro concerns after worrisome inflation data from Germany and Japan

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Macro concerns after worrisome inflation data from Germany and Japan

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Rising Treasury yields continue to pressure investor sentiment

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Rising Treasury yields continue to pressure investor sentiment

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Lingering inflation, rate hikes, and growth concerns following a slate of economic data last week

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Lingering inflation, rate hikes, and growth concerns following a slate of economic data last week

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Lingering rate hikes and inflation concerns

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Upside leadership from mega-cap stocks -  slight pullback in Treasury yields and weakening US dollar

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Hotter-than-expected US CPI data renewing rate hike concerns

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Carryover momentum from recent rally; Weakening dollar

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Bearish sentiment readings act as a contrarian catalyst

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Directional leadership from mega-cap stocks, but S&P 500 couldn't hold above 4,000

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Buying into a short-term oversold situation, falling Treasury yields and oil prices

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Carryover negativity from recent sessions; Rising Treasury yields tempering some buying interest

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European stocks had a poor start to the week

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Gazprom says Nord Stream 1 pipeline to remain shut for a technical issue -  falling Treasury yields

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Renewed growth concerns from China new lockdown and global manufacturing PMI readings showing contractions

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General lack of conviction on either side of the tape - pullback in oil prices

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Broad selling interest - rising Treasury yields

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Carryover momentum from Friday's retreat fueled by Fed Chair Powell's comments indicating the Fed may remain restrictive for longer

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Fed Chair Powell's speech at Jackson Hole - rising Treasury yields

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Broad buying interest after recent weakness -  waiting for Fed Chair Powell to speak

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Uncertainty ahead of Fed Chair Powell's speech at Jackson Hole symposium Friday - Rising oil prices and Treasury yields

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Rising oil costs stoking fears of more persistent inflation -  US 10-yr note yield above 3.00%

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Waiting game ahead of Fed Chair Powell speaking at the Jackson Hole Fed symposium

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The pullback in cryptocurrencies and meme stocks indicating speculative froth is being taken out of the market

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Mixed earnings reports and economic data - feeling the market is due for a longer consolidation period

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Rising Treasury yields -  feeling the market is due to pullback from recent gains

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Feeling the market is due for a pullback after the recent rally.

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Global growth concerns after weaker-than-expected data out of China and a sharp decline in the August Empire State Manufacturing Index

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Import-Export Price Index for July points to possible peak inflation, piling on to CPI and PPI earlier

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The relative underperformance of mega caps - surprise decline in July US PPI

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An expectation that Fed will pivot sooner rather than later

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Feelings that the market is due for a pullback after recent gains

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Nagging sense market is overbought and due for a pause

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Hotter-than-expected July employment report goes against the market notion that Fed will pivot policy sooner rather than later

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Aggressive rate hikes from England and Brazil's central banks, Dropping oil prices

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Relief that China's response to Speaker Pelosi's Taiwan visit was not more consequential

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Reservations that the July market rally is not sustainable given the deteriorating economic fundamentals

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Expectations that the market is due for a consolidation period after the July rally

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Earnings movers dominate S&P 500 on Friday

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Growth concerns are at the forefront after a larger-than-expected contraction in the advanced US Q2 GDP reading

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The market continues to climb after Powell press conference; Better-than-feared results, and guidance from Alphabet and Microsoft

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Nervousness in front of earnings reports after close from Alphabet and Microsoft and the Fed rate decision on Wednesday

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Waiting game ahead of this week earnings reports from 175 S&P companies that make up nearly 50% of the index's market cap

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Global growth concerns after weak overseas PMI data

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The ECB raised its three key interest rates by 50 basis points

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Concerns about gas supplies to Europe

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Broad-based rally effort

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General risk-on tone with the rise in oil prices, gold higher amid dollar weakness

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Buyer conviction picks up to end the week

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Downward momentum follow-through from yesterday - gold dented by a stronger dollar

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Global growth concerns after Bank of Canada unexpected 100 bps rate hike

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Downside leadership from mega-caps, gold lower again as dollar tops 20-year highs

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Large-cap names like Tesla and Netflix underperform in S&P 500

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Rate hike concerns stemming from hotter-than-expected US June jobs report

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Broad-based buying interest -  mega-caps pull ahead of broader market

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The market sees volatility in the face of growing concerns

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Large drop in commodity prices, particularly oil and gas, the euro falls to a 20-year low against the dollar

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Energy shares boost European equities, but recession fears cap gains

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Resilience to selling despite lousy news from Micron and General Motors in addition to Eurozone record-high inflation

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The decline in real PCE fueling concerns about the Fed continuing to raise rates in a slowing economic environment

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Lingering concerns about rate hikes and growth prospects - relative strength in mega-caps

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China reporting zero covid cases in Beijing and Shanghai fueling hopes of fully reopening economy

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Energy futures close mixed, and Treasury yields near highs

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Rebound effort to break three-week losing streak

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Continued rebound effort from the short-term oversold condition; Drop in Treasury yields

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Encouraging price action, as the market was quick to recoup opening losses

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Bounce from a short-term oversold condition

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Japanese Nikkei continues to fall, more than one month low - auto stocks rise, shipbuilding miserable

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Bounce from an oversold condition - Lingering concerns about growth prospects

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Many central banks are raising key rates

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FOMC raises the target range for fed funds rate by 75 basis points -  sees additional increases

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Nervous trading in front of the FOMC decision and updated economic projections on Wednesday

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General growth concerns - Treasury note yield curve flattening

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Hotter-than-expected CPI data raising concerns about rate hikes and the Fed's future policy course

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Lingering growth - rate-hike concerns following the ECB meeting

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General growth concerns - Oil futures head higher again

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Energy sector rallies (again) as oil futures press higher (again)

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Volatility in oil prices as crude flirts with $120.00/bbl; Nat gas futures surged 9.0%

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Rate hike concerns after Cleveland Fed President Mester said inflation hasn't peaked

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Fed Governor Brainard says it is tough to see cause for a pause in September.

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Fed's Beige Book reports moderating growth -  jump in Treasury yields on rate hike concerns

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Oil prices turned negative after testing $120 earlier after the EU agreed to ban 90% of Russian crude imports by the end of the year

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Dollar under pressure amid sustained risk appetite as China lifts lockdowns

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Month-end rebalancing activity

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Moves by fund managers at month-end to boost underweight positions

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Efforts to rebound from an oversold condition

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Weakness in mega-cap stocks - concerns about a slowdown in economic and earnings growth

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Carryover momentum from the late Friday rebound effort that pulled equities out of the bear market territory

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The market ended on a high note after S&P 500 briefly entered the bear market territory

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Pressured by underlying growth concerns - Relatively disappointing economic data

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Stocks sell-off amid inflation/profit-margin concerns

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With improved sentiment regarding economic growth, treasury yields shoot higher

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Weakness in the growth stocks

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Short-covering activity - stocks bounce from an oversold condition

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Volatile conditions persist, as do growth concerns; Russia threatens retaliation if Finland joins NATO

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Mega-caps lead market lower, Oil prices jump amid encouraging COVID news out of China

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Major indices cough up opening gains amid inclination to sell into strength

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Festering growth concerns tied to rising interest rates, Russia's war in Ukraine, and China's COVID-related lockdowns

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Stock volatile finish to the first week of May, Crude oil keeps rising

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Stock market indexes ended Thursday's session deep in the red

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Fed lifts rates 50 basis points, as expected

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Wait-and-see trading strategy mindset for the Fed decision

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Tentative session ahead of the Fed's policy decision this week -  US10-yr yield hits 3.00% for the first time since 2018

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Stocks sell off to close out a disappointing month - gold climbs as dollar slips

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Earnings provide fuel for dip-buying efforts

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Major indices close mixed in volatile session - mixed earnings picture.

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Lingering growth concerns - Mega-caps lead the market sharply lower in front of earnings reports

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Growth concerns persist, but investors start to buy the dip - treasury yields and oil prices drop

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Rate-hike angst fuels de-risking efforts

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Powell is not ready to declare peak inflation - gold extends losing streak, yields higher.

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The broader market is impressive, including the defensive-oriented and value stocks

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Stocks rally amid contrarian mindset, but oil prices drop

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Lack of conviction, Mixed bank earnings, Treasury yields edge higher

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Bank Holidays (Good Friday), Musk began looking for potential partners to buy Twitter

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Treasury yields bounce back, undercut growth stocks amid retail sales, unemployment, inflation data

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Investors buy the dip - treasury yields decline for the second straight day

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Treasury yields drop - investors sell into early rally effort

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Growth stocks paced the retreat along with energy stocks

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Interest rates continue to creep higher, weighing on the growth stocks

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Longer-dated Treasury yields creep higher, steepening the curve

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Growth stocks pace retreat for the second straight day as Treasury yields hit multi-year highs

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Growth stocks pace index declines as interest rates continue to rise

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Gold higher even with the dollar, stock gains - Mega-caps doing the heavy lifting

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Gold slips on Friday as yields gain following jobs data

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Profit-taking interest, quarter-end machinations

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Russia refutes breakthrough in peace talks - profit-taking interest after massive rebound rally

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Positive momentum - another green day for stocks, while the recession indicator flashes red

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Nasdaq outperforms amid quarter-end rebalancing activity, and Oil prices drop 6.5%, Treasury yield curve flattens

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Rising Treasury yields weigh on growth stocks and homebuilders

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S&P 500 remains near 200-day moving average - crude oil dips

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President Biden meeting with European NATO allies - crude oil rising again

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S&P 500 looking for support near 200-day moving average

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Crude oil rising again: EU may block imports of Russian oil

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Market unfazed by geopolitics, the Fed, and the curve-flattening activity in the Treasury market

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Russia refutes reports indicating progress in peace talks, catalyzes 8% rebound in oil prices

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Stocks close at session highs on volatile Fed-decision day - Fed increases rates by 25 basis points, as expected.

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Stocks on the rebound - Biden to travel to Europe next week for NATO summit

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China locks down Shenzhen due to COVID-19 outbreak; Russia and Ukraine report progress in talks; Lower oil prices

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President Putin reportedly describes a positive shift in talks with Ukraine, but the market doesn't believe him.

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Russia and Ukraine end talks without any real progress, US10-yr yield tops 2.00%

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Hopeful-sounding rhetoric on the Russia-Ukraine situation; UAE supports increasing oil production

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Stocks rally off lows amid a report that Ukraine will no longer seek NATO membership

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Stocks drop as higher oil fuels slowdown concerns

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Down day for major indices as Russia seizes nuclear power plant in Ukraine and oil prices jump 7%

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Stocks trade mixed - Russia and Ukraine reach an understanding that there must be corridors to evacuate civilians safely

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Hope for a cease-fire in the Russia-Ukraine conflict and less-hawkish Fed

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Russia ratchets up an attack in Ukraine - a long convoy of military vehicles approach Kyiv

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Certain Russian banks blocked from SWIFT financial transactions system - Putin places nuclear forces on high alert

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Russia says it's willing to seek diplomatic solutions with Ukraine as troops enter Kiev

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Russia invades Ukraine

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Russia-Ukraine situation does not improve - stocks at session lows, every rebound bid gets sold

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Russia-Ukraine tensions rise after Russia sends troops to two regions in eastern Ukraine

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All major stock markets fell - fears around Ukraine

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Geopolitical uncertainty heading into the long US weekend - buyers hold back

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Russia-Ukraine situation weighs on sentiment - US10-yr yield dips below 2.00%

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S&P 500 turns positive following FOMC Minutes from January meeting

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Markets rally on de-escalation news

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The door is open for Russia-Ukraine diplomacy, but volatile action amid conflicting headlines

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Fears of the Russian invasion of Ukraine - Treasury yields fall, oil prices rise

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Treasury yields spike and better-than-expected earnings reports

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Hopeful-sounding Fed commentary on inflation and improved COVID-19 outlook

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Stocks drift higher in relatively broad-based advance, excluding energy stocks

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Lack of trading conviction - energy stocks flip positive despite lower oil prices

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Increased expectations for the Fed to hike rates by 50 basis points in March

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Concerns about inflation risks - interest rates rise following ECB and Bank of England policy meetings

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Loss in rebound momentum on markets

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Shares consolidation activity, crude futures settle fractionally higher

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Month-end rebalancing activity, growth stocks pace the advance

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Month-end rebalancing activity, bargain-hunting mindset, fear of missing out, lower interest rates

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Hawkish Fed expectations continue to weigh on sentiment

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Fed keeps rates near zero as expected - asset purchases will end in early March

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Growth stocks pace decline in a volatile session

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US indexes bounce from an oversold condition, but EU shares closed at multi-month lows

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Concerns about profit margins, valuations, the Fed, and geopolitics. Safe-haven trade in Treasuries

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Investors sell into strength, and the market closes at session lows

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Inability to rebound with lower interest rates and encouraging earnings news

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Interest rates jump on expectations for four rate hikes this year amid inflation pressures - Stocks drop

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U.S. dollar index traded above 95, as the outlook for U.S. interest rates remained unchanged ahead of the Fed January meeting

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Mixed bank earnings, downbeat economic data, interest rates rise

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Growth stocks succumbed to renewed selling interest, even as long-term interest rates declined

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Beige Book says the economy grew at a modest pace - US10-yr heads lower despite hot CPI data

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Stocks extend rebound bid following Fed Chair Powell's confirmation hearing - Long-term interest rates decline

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Stocks extend last week's losses amid de-risking efforts - Gold slightly higher to open the week

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Growth stocks remained under pressure as US10-yr yield hit 1.80% intraday

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S&P 500 finds technical support at a 50-day moving average - Treasury yields continue to push higher

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Value stocks continue to outperform at the expense of growth stocks

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Sharp divergence between the value and growth stocks - yield curve continues to steepen, oil prices rise

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Treasury yield rise,  EU stock indexes rose, US - mixed,  Australia, New Zealand, China, and Japan are closed for a holiday

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Year-end rebalancing activity - broader market held its ground

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Mixed, yet calm session - Treasury yield curve steepens

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Market showing signs of fatigue, Mega-caps trade mixed

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Flat trading - holiday season on the stock exchanges

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Relatively light trading volume in front of the Christmas weekend

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Gains in most global markets reflect an improved sentiment - holding near highs

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Stocks trade sharply higher in rebound-minded trade, but the Treasury yield curve steepens

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Sharp losses amid growth concerns, although the market is attempting a comeback

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Small-caps performed well in rotation-minded trade, Treasury yield curve flattens

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Mega-caps stocks fumble post-FOMC gains while value stocks rise - 2-yr yield drops, outpaces decline in 10-yr yield

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Fed funds rate left near zero, and most Fed members see at least three rate hikes in 2022

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Major indices trade lower but off session lows - crude futures and gold  settle lower

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Major indices slip to begin the week - crude futures settle lower, gold slightly higher

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US indexes notches record close following hot CPI data, Gold higher as dollar, yields decline

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US & EU Markets closes lower in consolidation trade, Asia - mixed, Gold snaps back-to-back wins, Dollar strengthens

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The stock market extends rally to a third day with modest gains - higher commodity prices, steepened the yield curve

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World stocks extend Monday rebound - crude oil, gold, yields higher

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EU & US stocks bounce as Omicron-related concerns recede, Asia - mixed

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World stock markets end the week on a lower note

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Omicron concerns tempered, investors go bargain hunting

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Stocks try to rebound - the economy grew at a modest to moderate pace

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Market down sharply on Powell comments, Omicron uncertainty -  US 2-yr yield spikes

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Global equities and oil bounce, гold slips from overnight highs

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Stocks, Treasury yields, and oil prices drop noticeably

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European stock markets rose - Investors bought defensive sectors. US stocks are closed for the Thanksgiving

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Stocks close mixed, but near session highs - crude futures settle unchanged

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Investors were interested in oversold Russian shares. US Energy stocks rise amid higher oil prices

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Biden to nominate Powell for a second term - strength in financial and energy stocks

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Nasdaq closed at a new high due to the strong performance of technology stocks

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US indexes close at record highs amid mega-cap strength -  lingering growth concerns

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Major indices close lower in defensive session, crude futures drop 3%

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Better-than-expected economic data - Gold slips off highs, USD hits 16-month highs

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Consolidation activity: large-cap indices close flat in a dim session

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Mega-caps lead market higher, Airlines reported for the 3-rd quarter

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European stocks hit a record, US close mixed in the tight-ranged session - treasury market closed

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Hot CPI data cools off-market - crude futures settle lower, as gold extends winning streak

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Profit-taking activity results in small index losses

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EU markets closed slightly higher, driven by strong commodity stocks

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Each main index ends at record highs once again, and Crude futures bounce back over $80

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Bank stocks plummeted due to lower U.S. Treasury yields

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The Fed holds rates unchanged and announces a cut plan - market notches fresh record highs

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Better than expected earnings ratios, catalyzing a host of bull reactions, but Gold lower ahead of FOMC decision

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The leading indices set intraday and closing record highs, gold slightly higher on dollar weakness

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U.S. indices are approaching record highs in a resilient yet defensive session

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US indexes close at record highs, Gold recovers $1800, Facebook - extend gains on a name change

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The underlying weakness of the overall market  - as a result of consolidation activity, growth concerns, infrastructure uncertainty

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Better-than-expected economic data - S&P 500 and Dow hit record highs again

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S&P 500 and Dow hit all-time highs - the gold highest finish since mid-Sept

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Dow closes at a record high on Friday, Gold higher, as inflation concerns loom

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The S&P 500 increase daily and closes record highs

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Earnings reports were generally higher than expected - the S&P 500 climbs for the sixth straight day

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Oil & gold prices, as well as long-term interest rates - increased

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The mega-capes bring the S&P 500 to a fourth consecutive gain

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S&P500 driven by retail sales data, earnings, technical factors - Gold slips, Crude futures above $82

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Market recovery - driven by positive results, relatively encouraging economics, and lower interest rates

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Market weathers negative-sounding developments - gold higher ahead of FOMC minutes

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Wait-and-see mindset - Treasury yield curve flattened

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The rising dollar weighs on precious metals, while crude oil futures are valued at more than $80

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The major indices move slightly lower as investors contemplate Fed policy

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Equities continued yesterdays rebound in steady progress. Gold slips, T-bills yields rise as US jobless claims decline

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Treasury bill yields and energy prices decreased as gold was slightly higher

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Energy prices and T-bill yields rise until gold breaks a string of recent victories

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Mega-caps drove the market down until crude futures settled sharply higher

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Investors returned to the market at the end of a tough week - 10-yr yield retraced below 1.50%, Gold & Crude futures settle higher

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The U.S. Congress would pass a bill to fund the government through December. Gold finishes higher, WTI crude oil futures above $75

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The higher dollar puts pressure on energy and precious metal prices

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The heating season begins in Europe on Friday: gas, carbon, and coal prices increase

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The energy market is gaining momentum amid the energy crisis in China and fuel shortages in the UK.

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Long-term interest rates increased for the second straight day - large-cap indices close little changed

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Optimist rally on Wall Street - increasing comfort with the macroeconomic landscape, the yield curve of the Treasury has increased

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Volatility during Powell speech - equities respond positively to the FOMC statement

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Continued skepticism due to ongoing uncertainty around Evergrande, infrastructure, and debt cap.

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Concerns about China's Evergrande, debt cap, infrastructure, technical downgrades - leading world indices decreased by more than 1.5%

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Negative-sounding headlines: downward trend, risk aversion, fund-raising efforts

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Markets rally towards the end of the afternoon - gold losses mount as yields, crude futures were slightly higher

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The growth in oil quotes is provided by a weaker dollar and statistics from the API on US reserves.

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The market closes lower due to growth concerns and sell-off dynamics. Gold higher, Crude futures - flat

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The stock markets mixed into a wobbly session - strength only in the energy and financial services industries

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Investors see the energy industry wavering as an indicator of Delta's concerns. Gold - decline, WTI - up.

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The major indexes closed slightly lower in a fatigued session. Gold picks up $1800, yields sell-off following US30-y auction

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Risk sentiment under the influence of negative headlines - according to Fed officials, the cut could be started this year

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The world equity market is under pressure as economic concerns rise - gold slips as yields, dollar gains

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European equities are close to record highs as tech rallies. The Russian MOEX equity index hit record highs in 2021

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European equities marked the worst drop in two weeks on US  job jitters, Crude oil - slips, USD & CAD: Bank Holiday

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Weekly initial and continuing claims kept improving - S&P500 & Nasdaq set all-time highs, crude oil futures close to $70/bbl.

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Pro-defensive bias while cyclical stocks lagged, but Nasdaq ekes out record highs, Crude futures - slightly higher, Gold - lower

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Key indexes close a strong month on a softer note; Zoom (ZM) fell by almost 17% following earnings

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Value and cyclical stocks underperformed - growth concerns, but indexes are closer to record levels on the back of mega-cap

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Fed Chair Powell differentiates degressive criteria from rate increase criteria - S&P 500 & Nasdaq notch record highs

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Hawkish-sounding Fed commentary, explosions in Afghanistan - the stock market is losing ground, crude futures & gold higher

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The relative strength of the financial services sector amid an activity accentuates the curves

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Increased risk-taking activity - cyclical sectors outperformed & positive earnings reports, Gold slightly higher as the USD remains soft

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The US indexes hit all-time highs, strength in energy stocks, crude futures rebound 5%, gold back to $1800 level

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Buy-the-dip mentality - equity and treasury markets have raised growth concerns

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Concerns about growth persisted as cyclical stocks struggled - oil prices and the 10-year return declined.

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The FOMC minutes show that the downsizing could start later this year - US Stocks slumped, Bonds waver

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Ongoing concerns about Covid-19 Delta variant and global growth - gold slightly lower

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Geopolitical uncertainty, Relatively weak economic data, Gold higher, Oil briefly dropped 4%, US10-yr yield slipped below 1.25%

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The US market neglects hot PPI data and obtains a hand of mega-caps, as yields and dollar stand firm

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Record highs during the US equity cyclical session; Strong US10-yr note auction; Gold climbs as USD and Crude futures

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EU, U.S. & Asia set an intraday record high, Treasury yields and oil prices increased, gold recovers losses

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Mixed session - growth concerns linger as oil and copper prices continue to weaken, yields trade higher

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U.S. indices close to historical highs - value equities outperformed, 10-year return jumped to 1.29%

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Encouraging economic data helped to strengthen the risk sentiment - U.S. indexes closed at record highs.

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Consolidation activity and signs of fatigue, even though pockets of excessive speculation existed

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S&P 500 at a record high - energy stocks are rising even with lower oil prices, gold modestly lower

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Equities decline as Treasury returns decline and crude futures settled sharply lower

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Delta-variant headlines in the mix - U.S., EU & Asia stock market closed lower, crude futures slightly higher

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U.S. indexes set all-time highs - better-than-expected earnings reports, infrastructure optimism

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The Federal Reserve keeps rates near zero and the pace of asset purchases unchanged

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Fed two-day policy meeting - mixed economic data, slightly higher gold, oil futures downwards.

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The markets are almost flat ahead of the Fed's policy decision this week. German 10-Y yield drops to 23-week low -0.442%.

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U.S. indexes set intraday and closing record highs - mega-caps lead, cyclical stocks underperformed

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The markets remain resilient, earnings - better than expected, mega-caps provide solid support

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Markets rebound, crude futures  rise, gold falls as U.S. 10-yr yield trades sharply higher

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Technical factors and fear of missing a strong bounce, driving the main indexes -  investors bought the dip

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Growth concerns, U.S. 10-yr yield at 1.20% and oil fall with 6%, while hedging premium spikes is 30%

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The markets decrease the opening gains and close down, with relative weakness in cyclical equities

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Crude oil futures are going down, weigh on energy stocks. Gold up, the 10-year yield at overnight low

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Mostly negative reactions to bank earnings, but S&P500 sets another all-time high. Crude oil inventories fell

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The relatively low bid on U.S. 30-year bonds drove the market down, while yields on T-bills skyrocketed

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Wait-and-see for a busy week of events equity traders strategy, Gold falls but holds $1800 level

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Stocks close at record highs, and Treasury yields staged strong reversals - U.S. 10-yr yield settled higher at 1.36%

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Concerns about global economic growth - overall risk reduction and profit efforts,  U.S. 10-yr yield touched 1.25%

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FOMC minutes from the June meeting reveal no major surprises, but U.S. indexes set all-time highs with modest gains

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Concerns related to peak growth contributed to the U.S. cool-down session and a turnover of value-to-growth rotation

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U.S.equity market closed for July 4th, equity-index futures fluctuate - oil jumps on OPEC+ dispute

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Following the June employment report, U.S. indexes close at record highs, while EU stock markets were almost unchanged

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The S&P 500 reached both intraday and closing highs, and energy stocks surged as crude oil prices reached $75/bbl.

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The U.S. 10-year return was reduced due to growth concerns related to the delta variant of COVID-19

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EU stock markets rebounded, U.S. set all-time highs again, Asia-Pacific closed in red for the second consecutive trading day

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U.S. growth equities outperformed - the 10-year yield falling by 7 basis points to 1.47%; EU & Asia on the red territory

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Finance equities led the U.S. indexes to new highs, and long-term interest rates increased, EU stocks near to historical highs

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Optimism surrounding the Fed stress-test results, U.S. indexes set all-time highs, EU boosted by technology stocks

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U.S. tight-ranged session, S&P500 and Nasdaq hits fresh record highs while European stock markets closed down

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Nasdaq sets intraday record highs while Fed Chair Powell testifies and sounded optimistic on the economy

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EU indexes almost flat, Asia down, S&P500 bounces back above its 50-day MA - value stocks lead broad-based rally

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U.S. & EU stock indexes fell, S&P500 closed below 50-day MA, the treasury yield curve flattened noticeably

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S&P500  flat, growth stocks rallying - weak commodities, US10-yr yield trades below 1.50%

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Fed keeps rates near zero, raised its inflation expectations, signals rate hike by the end of 2023 -  as expected

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European stock markets rose, S&P 500 and Nasdaq index fell from record highs, Asia - mixed

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Wait-and-see strategy for the FOMC policy statement on Wednesday - long bond yields edge higher

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CBOE Volatility Index closed at the lowest level since Feb.2020 - U.S. stock index almost flat, crude futures rise

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EU stock markets closed close to flat, S&P500 sets a new all-time high, 10-yr yield below the flat line

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An unsuccessful attempt at record highs, 10-yr yield near the bottom of three-month consolidation range - inflation expectations

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S&P500 met with resistance at an all-time high, 10-y treasury yields edge lower, and lack of trading conviction at the large-cap level

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European stock markets closed at a new high on Monday, Gold higher as the US dollar slips to start the week

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US stocks retreat alongside weak showing from European markets, crude oil ends flat

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Growth stocks outperform - technology sector providing early support. Eurozone producer inflation on the focus

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Cyclical stocks outperformed, oil prices rise, and long-term interest rates ticked higher

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French CAC40 rises to a 20-year high. Stock markets flat - holidays in the US and UK

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The stock market pares modest gains and closes little changed ahead of Memorial Day - speculative trading off

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Consolidation activity. Higher-than-expected core inflation - 10-yr yield moves higher

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The equity market traded slightly higher, although conviction isn't too strong

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Market pares opening gains, 10yr yield continues to slip, WTI futures settle fractionally higher

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The buy-the-dip mindset in growth stocks - long treasury yields dip

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Consolidation activity persisted - value stocks outperformed in positive territory

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Long-term interest rates decline - mixed economic data

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Stocks close mostly lower, but the market spent the majority of the session on the return trail

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Consolidation activity persists - selling interest becomes more widespread, sweeps the information technology sector

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The energy and materials sectors benefiting from higher commodity prices - Media sector in focus

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Stocks end the week on a high note as investors followed through on dip-buying strategy

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Investors buying the dip, although there is some slippage happening in growth stocks

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Hot CPI report fuels market sell-off,  de-risking efforts - the 10-yr yield rose

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Relatively broad-based weakness, non-technology stocks lag - but investors are buying the dip

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Early cyclical outperformance is decreasing, with weak growth stocks weighing on risk sentiment

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S&P500 and Dow closed at record highs, and cyclical stocks led the way - growth stocks benefited from lower buying efforts

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The Dow Jones Index rose to an all-time high. Blue-chips outperform, while growth stocks lag

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Treasury Secretary Yellen and other Fed speakers downplayed sustained inflation pressures

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Investors turned to companies that might benefit more from the economic reopening. Profit-taking interest

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Positive start, but market trading well below early highs. Asia Bank holiday from Monday to Wednesday

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Most equity markets closed lower, despite good earnings and economic data Today's highlights from global markets, presented by Blue Suisse for free. 

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European stock markets lost momentum in trading. The U.S. dollar index hit a two-month low

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Fed keeps rates and pace of asset purchases unchanged, most US stocks fell   - as expected

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Market awaits key earnings after the close - indices little changed. Long Treasury yields edge higher Today's highlights from global markets, presented by Blue Suisse for free. 

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Indexes set new highs in front of a busy news week - stock market futures remained almost unchanged Today's highlights from global markets, presented by Blue Suisse for free. 

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US Investors play down tax concerns and buy the low, Europe & Asia - mixed Today's highlights from global markets, presented by Blue Suisse for free. 

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The market bounces back - as buying interest spreads to most sectors on no specific catalyst Today's highlights from global markets, presented by Blue Suisse for free. 

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Market registers back-to-back losses, representing consolidation activity Today's highlights from global markets, presented by Blue Suisse for free. 

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Stocks take a breather after a recent record-setting run Today's highlights from global markets, presented by Blue Suisse for free. 

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Optimism about the economic recovery and strong earnings season - Market respects the bullish trend Today's highlights from global markets, presented by Blue Suisse for free. 

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S&P500 and Dow set all-time highs in continuation of the bullish trend Long-term interest rates are dropping, notwithstanding economic data

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Stocks add to records after a strong start to earnings season, following by profit-taking activity in growth stocks Today's highlights from global markets, presented by Blue Suisse for free. 

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Investors on standby for the start of the earnings season US and Asia - mixed, EU - flat. Start of Ramadan

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April 13: Wait-and-see for bank earnings strategy Key economic data later this week. The markets - flat

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April 12: European stock markets rose for the sixth consecutive week, Dow climbed to an all-time high again, Asia - mixed Today's highlights from global markets, presented by Blue Suisse for free.

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April 9: Wall Street and EU indexes closed higher, Russia - down, Turkey reaches all-time high COVID cases Today's highlights from global markets, presented by Blue Suisse for free. Visit Blue Suisse website for more!

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April 8: Light of economic improvement, driven by stimulus plans and vaccines Today's highlights from global markets, presented by Blue Suisse for free. Visit Blue Suisse website for more!

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