Bhai, aaj ki headlines ka kuch aisa haal hai — 1. JNJ ka stock Consumer Staples sector ke against thoda weak chal raha hai. Yaani jab poora sector upar ja raha hai, JNJ peeche hai. Kuch khaas trigger nahi dikha, bas momentum unka saath nahi de raha. 2. P&G ka hisaab alag hai — wo Nasdaq ke against underperform kar raha hai. Matlab tech stocks ki uthaan ke saamne ye defensive wale stock pichdi gadi mein hain. Short term mein traders ko isme maza nahi aa raha. 3. US ne Iran transactions ke liye ek aur bank ko sanction karne ka plan banaya hai. Bessent ne AP ko bataya. Isse crude oil ki volatility badh sakti hai, kyunki Iran supply pe asar padta hai. Market ne abhi zyada react nahi kiya, par risk premium halka sa aa raha hai. 4. Bond market mein hichkichahat hai — Warsh ne Fed ke rate hike wali baat ko hawa di hai, isliye bond investors saavdhan ho gaye hain. Agar hike ka darr bana raha, toh equity market pe bhi pressure aayega, especially high growth stocks pe. 5. Meta pe WSJ ne "Day of Reckoning" bola hai — matlab unke AI spend aur ad revenue ki chalni wali growth pe sawaal uth rahe hain. Meta ka stock aaj thoda shaky ho sakta hai, kyunki analyst calls aur news flow negative hai. Ab tu bata — in sabme se kis news ka tera position pe sabse zyada asar hoga?

⚠️ Personal analysis, financial advice nahi.

#Trading #Binance #StockMarket #FederalReserve #Oil

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Disclaimer: My personal analysis, not financial advice. DYOR.