Yo, market mein kafi movement hai aaj. Klarna ka stock 20% gira—trimmed guidance diya unhone, aur German retail sales bhi weak aaye. E-commerce names ke liye thoda pressure hai. Tech side pe, Meta ka trial start ho gaya (social media case), aur chip stocks bhi red mein hain. Overall tech thoda shaky lag raha hai. Bond markets bhi weird ho rahe hain—US se Japan tak sab jagah yields spike kar rahe hain. Inflation aur fiscal worries ka mix hai. Ye dekhte hue equity ke liye thoda caution sahi rahega. Home Depot ne guidance hold ki hai, but unka khud ka statement hai—'frozen housing market conditions'. Matlab housing abhi bhi stuck hai, rates ne sab freeze kar diya hai. ABC ne FCC ko sue kiya hai TV licenses ke issue pe—media space mein bhi politics chal rahi hai. Overall, aaj ka mood defensive lag raha hai. Klarna ka drop aur bond yields dono risk-off signal de rahe hain. Agar tumne positions li hain, thoda tight stop lagao. Tumko kya lagta hai—ye bond yield spike sirf temporary hai, ya ye correction aane wali hai?
⚠️ Personal analysis, financial advice nahi.
#Trading #Binance #StockMarket #Economy #BigTech
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Disclaimer: My personal analysis, not financial advice. DYOR.
⚠️ Personal analysis, financial advice nahi.
#Trading #Binance #StockMarket #Economy #BigTech
--
Disclaimer: My personal analysis, not financial advice. DYOR.