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Wall Street anticipates mixed sign and remains in the area of ​​historical highs



Wall street anticipates mixed sign as we approach the end of a very positive first semester for US equity markets. The S&P 500 completed its most bullish week since February after rising 2.7%, allowing it to close at all-time highs above 4,280 pointss, with an annual profit of 14%.

At the strategic level, "greater macroeconomic volatility can translate into a higher market volatility. And as investors, we believe that it is important to maintain the liquidity and flexibility of the portfolio to be able to respond and take advantage of these events, "say PIMCO analysts.

For the moment, they claim, it is very difficult to read the data that come in on inflation, given the unprecedented disruption and recovery related to Covid.

Also, any conversation about him Fed tapering (phasing out of asset purchases)However carefully communicated, it could cause market disruption, they warn.

Therefore, it is necessary to focus on the selection of "sectors and values ​​of the companies that benefit from the new reopening of the services sector, as well as the cyclicals in secular sectors, with pricing power and barriers to entry, such as semiconductors, technological automation and green industries, "they explain.

In other markets, oil West texas rises 0.1%, to $ 74.15, and remains at a high since April 2019. Waiting for the OPEC + meeting, which is celebrated this Thursday, July 1, the price of 'black gold' accumulates a profit close to 50% so far this year, which has increased to 76% in the last twelve months.

In addition, the euro it appreciates 0.03% and changes to $ 1.1937. Besides, the ounce of gold falls 0.1% to $ 1,776 while the 10-year American bond relaxes to 1.51%.

Finally, the bitcoin rises 5%, to $ 34,430, despite the fact that The UK has banned Binance from trading, one of the largest cryptocurrency platforms in the world.

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