Reported about 9 hours ago
In a turbulent week marked by Nvidia's record losses and cautious Fed rate stance, five indicators reveal the increasing instability in the market. Heavy speculation in U.S. tech amidst rising interest rates, shifting investor sentiment, diminished equity risk premium, increased bets on the U.S. dollar, and a cautious shift towards safer assets like European credit suggest vulnerabilities that could lead to greater market volatility.
Source: YAHOO