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Коллега, всё же мы не в 2007-2008 годах, когда был совершенно другой запас прочности/условия: баланс ФРС намекает.

Ключевой момент сейчас для рынков/людей с точки зрения сентимента — доверие к проводимой политике монетарных властей.

Доверие, собственно, стремительно улетучивается несмотря на временную поствыборную эйфорию.

Пробьет ли плотину один негативный репорт по инфляции? Не факт, но делу это явно не поможет.

@MarketHeart



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Коллега, всё же мы не в 2007-2008 годах, когда был совершенно другой запас прочности/условия: баланс ФРС намекает.

Ключевой момент сейчас для рынков/людей с точки зрения сентимента — доверие к проводимой политике монетарных властей.

Доверие, собственно, стремительно улетучивается несмотря на временную поствыборную эйфорию.

Пробьет ли плотину один негативный репорт по инфляции? Не факт, но делу это явно не поможет.

@MarketHeart

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There was another possible development: Reuters also reported that Ukraine said that Belarus could soon join the invasion of Ukraine. However, the AFP, citing a Pentagon official, said the U.S. hasn’t yet seen evidence that Belarusian troops are in Ukraine. A Russian Telegram channel with over 700,000 followers is spreading disinformation about Russia's invasion of Ukraine under the guise of providing "objective information" and fact-checking fake news. Its influence extends beyond the platform, with major Russian publications, government officials, and journalists citing the page's posts. Under the Sebi Act, the regulator has the power to carry out search and seizure of books, registers, documents including electronics and digital devices from any person associated with the securities market. The S&P 500 fell 1.3% to 4,204.36, and the Dow Jones Industrial Average was down 0.7% to 32,943.33. The Dow posted a fifth straight weekly loss — its longest losing streak since 2019. The Nasdaq Composite tumbled 2.2% to 12,843.81. Though all three indexes opened in the green, stocks took a turn after a new report showed U.S. consumer sentiment deteriorated more than expected in early March as consumers' inflation expectations soared to the highest since 1981. That hurt tech stocks. For the past few weeks, the 10-year yield has traded between 1.72% and 2%, as traders moved into the bond for safety when Russia headlines were ugly—and out of it when headlines improved. Now, the yield is touching its pandemic-era high. If the yield breaks above that level, that could signal that it’s on a sustainable path higher. Higher long-dated bond yields make future profits less valuable—and many tech companies are valued on the basis of profits forecast for many years in the future.
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