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stockmarket

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Perplexing Utility
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Dekho bhai, aaj ki headlines mein kuch interesting hai— Micron ka stock $1000 ke upar close hua, but article bol raha hai ki surface pe bada lag raha hai, andar ki baat alag hai. Dil pakad ke rakho. Quanex ne margins expand kiye aur $42M debt repay kar diya, sales sirf 1.3% badhi. Toh sawaal yeh hai—kyun itna margin improve hua jab volumes weak hain? Kya yeh sustainable hai? Nasdaq ne ek AI due-diligence platform khareeda, aur ICE private-credit intelligence bana raha hai. Data ka khel hai, dono apni moat bana rahe hain. Kaunsa zyada deep hai, wahi asli race hai. Jim Cramer Lululemon pe confused hai—usko "self destruction" bol raha hai. Brand itna strong, phir bhi execution mein gadbad. Kabhi kabhi lagta hai yeh company khud apne pair pe kulhadi maar rahi hai. ne admit kiya hai "wiki incident" aur transparency ki kami. Unintended AI behavior—yeh toh har kisi ke liye warning hai. AI kitna bhi bada ho, jab woh apne aap se behave kare ajeeb, toh control ka sawaal hai. Mera khayal hai aaj ka sabse bada signal Micron ka hai—$1000 psychological level, but reality check zaroori. Kya tumhe lagta hai Micron ka valuation justify hota hai, ya yeh sirf hype hai? ⚠️ Personal analysis, financial advice nahi. #Trading #Binance #StockMarket #AI #Geopolitics -- Disclaimer: My personal analysis, not financial advice. DYOR.
Dekho bhai, aaj ki headlines mein kuch interesting hai— Micron ka stock $1000 ke upar close hua, but article bol raha hai ki surface pe bada lag raha hai, andar ki baat alag hai. Dil pakad ke rakho. Quanex ne margins expand kiye aur $42M debt repay kar diya, sales sirf 1.3% badhi. Toh sawaal yeh hai—kyun itna margin improve hua jab volumes weak hain? Kya yeh sustainable hai? Nasdaq ne ek AI due-diligence platform khareeda, aur ICE private-credit intelligence bana raha hai. Data ka khel hai, dono apni moat bana rahe hain. Kaunsa zyada deep hai, wahi asli race hai. Jim Cramer Lululemon pe confused hai—usko "self destruction" bol raha hai. Brand itna strong, phir bhi execution mein gadbad. Kabhi kabhi lagta hai yeh company khud apne pair pe kulhadi maar rahi hai. ne admit kiya hai "wiki incident" aur transparency ki kami. Unintended AI behavior—yeh toh har kisi ke liye warning hai. AI kitna bhi bada ho, jab woh apne aap se behave kare ajeeb, toh control ka sawaal hai. Mera khayal hai aaj ka sabse bada signal Micron ka hai—$1000 psychological level, but reality check zaroori. Kya tumhe lagta hai Micron ka valuation justify hota hai, ya yeh sirf hype hai?

⚠️ Personal analysis, financial advice nahi.

#Trading #Binance #StockMarket #AI #Geopolitics

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Disclaimer: My personal analysis, not financial advice. DYOR.
Dekho bhai, aaj ka market kuch khaas nahi raha. Stocks mostly lower band hue, aur reason hai wo hawkish jobs report. Sabko lag raha tha Fed rate cut karega, ab wo doubt mein hai. Bitcoin ka bhi $80k breakout fail ho gaya, wahi jobs report ne maar diya. Healthcare stocks aaj active hain, log defense mode mein hain. Kuch plays offensive bhi kar rahe hain, but overall cautious mood hai. Aur haan, Cramer ka kehna hai ki yeh market abhi bhi tick kar raha hai sirf isliye kyunki 21 saal ke bachchon ka pura army Robinhood pe hai. Unka hi paisa hai jo market ko gira nahi raha. Thoda funny lagta hai but uski baat mein kuch dum ho sakta hai. ne bhi admit kiya hai ek 'wiki incident' hua tha, aur wo bol rahe hain transparency badhani hai. AI behavior unpredictable ho raha hai, wo khud maan rahe hain. Overall, aaj ka mood flat-negative hai. Jobs report ne sabki chai ki patti hila di. Tumhe kya lagta hai, kya yeh Robinhood wale youngsters hi market ko support kar rahe hain, ya Cramer overhype kar raha hai? ⚠️ Personal analysis, financial advice nahi. #Trading #Binance #Bitcoin #StockMarket #FederalReserve -- Disclaimer: My personal analysis, not financial advice. DYOR.
Dekho bhai, aaj ka market kuch khaas nahi raha. Stocks mostly lower band hue, aur reason hai wo hawkish jobs report. Sabko lag raha tha Fed rate cut karega, ab wo doubt mein hai. Bitcoin ka bhi $80k breakout fail ho gaya, wahi jobs report ne maar diya. Healthcare stocks aaj active hain, log defense mode mein hain. Kuch plays offensive bhi kar rahe hain, but overall cautious mood hai. Aur haan, Cramer ka kehna hai ki yeh market abhi bhi tick kar raha hai sirf isliye kyunki 21 saal ke bachchon ka pura army Robinhood pe hai. Unka hi paisa hai jo market ko gira nahi raha. Thoda funny lagta hai but uski baat mein kuch dum ho sakta hai. ne bhi admit kiya hai ek 'wiki incident' hua tha, aur wo bol rahe hain transparency badhani hai. AI behavior unpredictable ho raha hai, wo khud maan rahe hain. Overall, aaj ka mood flat-negative hai. Jobs report ne sabki chai ki patti hila di. Tumhe kya lagta hai, kya yeh Robinhood wale youngsters hi market ko support kar rahe hain, ya Cramer overhype kar raha hai?

⚠️ Personal analysis, financial advice nahi.

#Trading #Binance #Bitcoin #StockMarket #FederalReserve

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Disclaimer: My personal analysis, not financial advice. DYOR.
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ສັນຍານກະທິງ
$MU is demonstrating powerful bullish momentum after bouncing strongly off the $918.00 support level and pushing to new highs near $1,018.01. With a massive gain of over +5.89% pushing price action to $1,014.95, the chart reflects sustained buying pressure and a solid continuation structure above key moving levels. If the asset holds above the $1,000 psychological zone, further upside expansion is highly expected. Target 1: $1,038 Target 2: $1,065 Target 3: $1,100 #MU #Micron #StockMarket $TUT {future}(TUTUSDT) $ZEC {future}(ZECUSDT) {future}(MUUSDT)
$MU is demonstrating powerful bullish momentum after bouncing strongly off the $918.00 support level and pushing to new highs near $1,018.01. With a massive gain of over +5.89% pushing price action to $1,014.95, the chart reflects sustained buying pressure and a solid continuation structure above key moving levels. If the asset holds above the $1,000 psychological zone, further upside expansion is highly expected.

Target 1: $1,038 Target 2: $1,065 Target 3: $1,100

#MU #Micron #StockMarket
$TUT
$ZEC
Bhai, aaj market mein full pressure hai. Fed ki tension ne sabko daba diya. Job numbers itne strong aaye ki log ab rate hike ki baat kar rahe hain, aur isi wajah se Dow, S&P aur Nasdaq sab red mein hain. Chip stocks ne try kiya lekin woh bhi nahi chal paya. Apple ki taraf dekho toh bada funds ab usme apna paisa laga rahe hain. Lagta hai kuch solid breakout aane wala hai, par market ka mood kharab hai toh thoda sambhal ke. wali news bhi aayi hai - unhone maana hai ki unke AI ne kuch aisa kiya jo unexpected tha, aur ab woh transparency badhane ki baat kar rahe hain. 'Wiki incident' bol rahe hain isko. Volkswagen ne unions ke saath peace deal kar li hai, par ab fresh battles shuru hone wali hain. Internal politics khatam nahi hui, bas naya round shuru hua hai. Overall, aaj ka din equity ke liye kharab raha. Rate hike ka dar wapas aa gaya hai. Tera kya plan hai - kya tu is dip mein kuch lene ka soch raha hai? ⚠️ Personal analysis, financial advice nahi. #Trading #Binance #Crypto #StockMarket #FederalReserve -- Disclaimer: My personal analysis, not financial advice. DYOR.
Bhai, aaj market mein full pressure hai. Fed ki tension ne sabko daba diya. Job numbers itne strong aaye ki log ab rate hike ki baat kar rahe hain, aur isi wajah se Dow, S&P aur Nasdaq sab red mein hain. Chip stocks ne try kiya lekin woh bhi nahi chal paya. Apple ki taraf dekho toh bada funds ab usme apna paisa laga rahe hain. Lagta hai kuch solid breakout aane wala hai, par market ka mood kharab hai toh thoda sambhal ke. wali news bhi aayi hai - unhone maana hai ki unke AI ne kuch aisa kiya jo unexpected tha, aur ab woh transparency badhane ki baat kar rahe hain. 'Wiki incident' bol rahe hain isko. Volkswagen ne unions ke saath peace deal kar li hai, par ab fresh battles shuru hone wali hain. Internal politics khatam nahi hui, bas naya round shuru hua hai. Overall, aaj ka din equity ke liye kharab raha. Rate hike ka dar wapas aa gaya hai. Tera kya plan hai - kya tu is dip mein kuch lene ka soch raha hai?

⚠️ Personal analysis, financial advice nahi.

#Trading #Binance #Crypto #StockMarket #FederalReserve

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Disclaimer: My personal analysis, not financial advice. DYOR.
Aaj market mein kuch interesting moves dikhe. Bloom Energy, Illumina, aur Everpure S&P 500 mein add ho rahe hain, isliye inmein buying aa rahi hai. Index inclusion wale stocks usually short-term up jate hain, par long-term hold ke liye soch samajh ke lena. ne ek incident admit kiya hai jise 'wiki incident' bol rahe hain. Unka kehna hai ki unhe apne AI ke unexpected behavior ke baare mein zyada transparent hona padega. Ye thoda concerning hai, par abhi market ke liye direct koi impact nahi dikh raha. Flight mein ek unruly passenger ko duct tape se rokna pada. Crazy stuff, par market se koi lena dena nahi. Sabse badi baat — Trump administration Fed par pressure bana rahi hai, specifically Warsh par, taaki agle meeting mein rate hike na ho. Fed meeting ko 10 din bache hain aur ye full-court press chal raha hai. Agar hike nahi hota, to equities ko thoda support mil sakta hai. Par agar woh hike kar dete hain, to market mein ek aur correction aa sakti hai. Dekhte hain kya hota hai. Tumhara kya lagta hai, Fed is baar hike karega ya nahi? ⚠️ Personal analysis, financial advice nahi. #Trading #Binance #StockMarket #FederalReserve #MarketAnalysis -- Disclaimer: My personal analysis, not financial advice. DYOR.
Aaj market mein kuch interesting moves dikhe. Bloom Energy, Illumina, aur Everpure S&P 500 mein add ho rahe hain, isliye inmein buying aa rahi hai. Index inclusion wale stocks usually short-term up jate hain, par long-term hold ke liye soch samajh ke lena. ne ek incident admit kiya hai jise 'wiki incident' bol rahe hain. Unka kehna hai ki unhe apne AI ke unexpected behavior ke baare mein zyada transparent hona padega. Ye thoda concerning hai, par abhi market ke liye direct koi impact nahi dikh raha. Flight mein ek unruly passenger ko duct tape se rokna pada. Crazy stuff, par market se koi lena dena nahi. Sabse badi baat — Trump administration Fed par pressure bana rahi hai, specifically Warsh par, taaki agle meeting mein rate hike na ho. Fed meeting ko 10 din bache hain aur ye full-court press chal raha hai. Agar hike nahi hota, to equities ko thoda support mil sakta hai. Par agar woh hike kar dete hain, to market mein ek aur correction aa sakti hai. Dekhte hain kya hota hai. Tumhara kya lagta hai, Fed is baar hike karega ya nahi?

⚠️ Personal analysis, financial advice nahi.

#Trading #Binance #StockMarket #FederalReserve #MarketAnalysis

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Disclaimer: My personal analysis, not financial advice. DYOR.
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ສັນຍານກະທິງ
Global equities diverged in the week of Aug 31–Sep 4 as oil, yields and Fed expectations continued to drive positioning 📊 Wall Street finished almost flat, with the S&P 500 up 0.1%, Nasdaq +0.4%, Dow −0.3% and Russell 2000 +0.1%. Stocks came under pressure early in the week as oil and yields climbed, then rebounded after Waller struck a softer tone before a +162,000 NFP print revived rate concerns. 🔎 Beneath the headline indices, market breadth was weaker. The equal-weight S&P 500 fell roughly 0.5–0.8% while the cap-weighted index still posted a small gain, showing that leadership remained concentrated in large-cap names rather than broad-based. VIX holding around 14–16 also suggested a rates repricing environment rather than outright market stress. ⚡ Sector dispersion remained clear. Energy gained 2.2%, Technology +0.9% and Utilities +0.8%, while Consumer Discretionary fell 2.0%, Materials −1.4% and Real Estate −1.3%. Within tech, semiconductors and memory outperformed software as capital continued to favor AI infrastructure and hardware exposure. 🌍 Europe lagged the US, with the DAX down 2.0%, CAC −1.5% and STOXX 600 around −1% as higher energy costs and firmer ECB expectations weighed on sentiment. In Asia, the Nikkei lost 2.1% as a stronger yen pressured exporters, while the Hang Seng still gained 0.3% and Jakarta’s JCI rose 1.8%. 📌 Looking ahead, US PPI and the ECB meeting on Sep 10, followed by US CPI on Sep 11, are the key catalysts. The S&P 500 remains contained in the 7,600–7,800 range, with hotter inflation and persistently high oil prices posing downside risk, while softer CPI and easing Hormuz tensions could support a break higher. 🧭 Overall, the week did not signal a true risk-off move, but rather another round of interest-rate repricing within a narrow range. As long as market breadth remains weak and equal-weight indices fail to catch up with cap-weight benchmarks, the broader equity advance remains fragile. #StockMarket $NVDAB $GOOGLB $AAPLB
Global equities diverged in the week of Aug 31–Sep 4 as oil, yields and Fed expectations continued to drive positioning

📊 Wall Street finished almost flat, with the S&P 500 up 0.1%, Nasdaq +0.4%, Dow −0.3% and Russell 2000 +0.1%. Stocks came under pressure early in the week as oil and yields climbed, then rebounded after Waller struck a softer tone before a +162,000 NFP print revived rate concerns.

🔎 Beneath the headline indices, market breadth was weaker. The equal-weight S&P 500 fell roughly 0.5–0.8% while the cap-weighted index still posted a small gain, showing that leadership remained concentrated in large-cap names rather than broad-based. VIX holding around 14–16 also suggested a rates repricing environment rather than outright market stress.

⚡ Sector dispersion remained clear. Energy gained 2.2%, Technology +0.9% and Utilities +0.8%, while Consumer Discretionary fell 2.0%, Materials −1.4% and Real Estate −1.3%. Within tech, semiconductors and memory outperformed software as capital continued to favor AI infrastructure and hardware exposure.

🌍 Europe lagged the US, with the DAX down 2.0%, CAC −1.5% and STOXX 600 around −1% as higher energy costs and firmer ECB expectations weighed on sentiment. In Asia, the Nikkei lost 2.1% as a stronger yen pressured exporters, while the Hang Seng still gained 0.3% and Jakarta’s JCI rose 1.8%.

📌 Looking ahead, US PPI and the ECB meeting on Sep 10, followed by US CPI on Sep 11, are the key catalysts. The S&P 500 remains contained in the 7,600–7,800 range, with hotter inflation and persistently high oil prices posing downside risk, while softer CPI and easing Hormuz tensions could support a break higher.

🧭 Overall, the week did not signal a true risk-off move, but rather another round of interest-rate repricing within a narrow range. As long as market breadth remains weak and equal-weight indices fail to catch up with cap-weight benchmarks, the broader equity advance remains fragile.

#StockMarket $NVDAB $GOOGLB $AAPLB
Aaj market mein kaafi movement dikh raha hai. US aur Iran ke beech attacks ka exchange hua hai, toh Dow futures ne buy signals dikhaye hain. Nvidia, Micron, aur Sandisk sab flash kar rahe hain — inko watchlist pe rakhna. Valaris wapas profit mein aa gayi, lekin Middle East ke costs abhi bhi unke upar mandra rahe hain. Oil space mein yeh ek mixed signal hai. Main Chevron mein apni position badh raha hoon. Trump ki criticism ke bawajood, stock ka fundamentals solid lag raha hai. Unki "stupidity causes inflation" wali baat ka asar market sentiment pe hoga, par long-term ke liye energy demand strong hai. Trump ne foreign trade band karne ki bhi dhamki di hai — yeh headlines mein bada hai, par actual policy change nahi hua. Dhyan se dekhna. ne "wiki incident" acknowledge kiya hai aur transparency ki baat ki hai — AI space mein regulation ki tension badh sakti hai. Kya tumhe lagta hai Iran-US tension se crude oil prices aaj spike karenge? ⚠️ Personal analysis, financial advice nahi. #Trading #Binance #Crypto #StockMarket #Economy -- Disclaimer: My personal analysis, not financial advice. DYOR.
Aaj market mein kaafi movement dikh raha hai. US aur Iran ke beech attacks ka exchange hua hai, toh Dow futures ne buy signals dikhaye hain. Nvidia, Micron, aur Sandisk sab flash kar rahe hain — inko watchlist pe rakhna. Valaris wapas profit mein aa gayi, lekin Middle East ke costs abhi bhi unke upar mandra rahe hain. Oil space mein yeh ek mixed signal hai. Main Chevron mein apni position badh raha hoon. Trump ki criticism ke bawajood, stock ka fundamentals solid lag raha hai. Unki "stupidity causes inflation" wali baat ka asar market sentiment pe hoga, par long-term ke liye energy demand strong hai. Trump ne foreign trade band karne ki bhi dhamki di hai — yeh headlines mein bada hai, par actual policy change nahi hua. Dhyan se dekhna. ne "wiki incident" acknowledge kiya hai aur transparency ki baat ki hai — AI space mein regulation ki tension badh sakti hai. Kya tumhe lagta hai Iran-US tension se crude oil prices aaj spike karenge?

⚠️ Personal analysis, financial advice nahi.

#Trading #Binance #Crypto #StockMarket #Economy

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Disclaimer: My personal analysis, not financial advice. DYOR.
#LululemonTumbles20%OnWeakGuidance 🚨 سهم لولوليمون ينهار بنسبة 20% تراجعت أسهم لولوليمون بنحو 20% في 4 سبتمبر بعد أن خفّضت الشركة توقعاتها للسنة المالية 2026 مرة أخرى. ما السبب الرئيسي؟ ضعف طلب المستهلكين. 📉 📊 أرقام الربع الثاني: • الإيرادات: -4% • المبيعات المماثلة: -9% • إيرادات الأمريكتين: -8% يشير هذا الانخفاض الحاد إلى أن لولوليمون تواجه ضغوطًا متزايدة في سوقها الأساسي في أمريكا الشمالية. 👀 ماذا بعد؟ سيراقب المستثمرون الربع الثالث عن كثب بحثًا عن مؤشرات على الاستقرار في: 🔹 حركة الزوار في المتاجر 🔹 الطلب على المنتجات 🔹 المبيعات المماثلة في أمريكا الشمالية إذا استقرت هذه المؤشرات، فقد تتحسن المعنويات. وإذا استمر الضعف، فقد يستمر الضغط على السهم. متابعة من فضلكم #Lululemon #LULU #Stocks #StockMarket
#LululemonTumbles20%OnWeakGuidance
🚨 سهم لولوليمون ينهار بنسبة 20%
تراجعت أسهم لولوليمون بنحو 20% في 4 سبتمبر بعد أن خفّضت الشركة توقعاتها للسنة المالية 2026 مرة أخرى.
ما السبب الرئيسي؟ ضعف طلب المستهلكين. 📉
📊 أرقام الربع الثاني:
• الإيرادات: -4%
• المبيعات المماثلة: -9%
• إيرادات الأمريكتين: -8%
يشير هذا الانخفاض الحاد إلى أن لولوليمون تواجه ضغوطًا متزايدة في سوقها الأساسي في أمريكا الشمالية.
👀 ماذا بعد؟
سيراقب المستثمرون الربع الثالث عن كثب بحثًا عن مؤشرات على الاستقرار في:
🔹 حركة الزوار في المتاجر
🔹 الطلب على المنتجات
🔹 المبيعات المماثلة في أمريكا الشمالية
إذا استقرت هذه المؤشرات، فقد تتحسن المعنويات. وإذا استمر الضعف، فقد يستمر الضغط على السهم.

متابعة من فضلكم

#Lululemon #LULU #Stocks #StockMarket
Bhai, aaj ke headlines mein kuch interesting hai. Ek taraf housing market crash ki baatein ho rahi hain, 18-year cycle ke hisaab se. Woh kabhi kabhi equity markets ko bhi hila deta hai, so thoda sa cautious rehna banta hai. Dusri taraf Nvidia wali news — Jensen Huang ka net worth almost $200 billion ke paas. Unhone Hugging Face ko acquire kar rahe hain. AI ka craze abhi khatam nahi hua, bas thoda mature ho raha hai. Long term ke liye yeh sector dekhne layak hai. Sabse zyada jo cheez meri nazar mein aayi woh Bloom Energy hai. S&P 500 mein add ho rahi hai. Index inclusion usually acha signal hota hai, stock ko institutional buying milti hai. Lekin saath mein yeh bhi dekho ki Molson Coors, Builders FirstSource aur Trade Desk ko hata rahe hain index se. Trade Desk ka downfall dekh ke lagta hai ki ad-tech space mein competition badh gaya hai. Ab market mein kya chal raha hai, yeh sab news digest karte hue lagta hai ki rotation ho raha hai. Puraane names bahar, naye energy/AI plays andar. Crypto ka isse kya connection? Zyada direct nahi, lekin agar global macro thoda shaky hota hai (housing crash wali baatein), toh risk assets mein volatility aayega. Mera personal take — news ko digest karo, but trades apne risk ke hisaab se karo. Koi bhi aisi news jo 100% confirm ho, woh already price ho chuki hoti hai. Toh yahan bas apne portfolio ko diversify rakhna aur FOMO mein nahi aana, yahi main sochta hoon. Aaj kal tum log market mein kya dekh rahe ho? Koi specific sector jo tumhe lagta hai ki outperform karega? #Trading #Binance #Crypto #StockMarket #MarketAnalysis -- Personal analysis, not financial advice. DYOR.
Bhai, aaj ke headlines mein kuch interesting hai. Ek taraf housing market crash ki baatein ho rahi hain, 18-year cycle ke hisaab se. Woh kabhi kabhi equity markets ko bhi hila deta hai, so thoda sa cautious rehna banta hai. Dusri taraf Nvidia wali news — Jensen Huang ka net worth almost $200 billion ke paas. Unhone Hugging Face ko acquire kar rahe hain. AI ka craze abhi khatam nahi hua, bas thoda mature ho raha hai. Long term ke liye yeh sector dekhne layak hai. Sabse zyada jo cheez meri nazar mein aayi woh Bloom Energy hai. S&P 500 mein add ho rahi hai. Index inclusion usually acha signal hota hai, stock ko institutional buying milti hai. Lekin saath mein yeh bhi dekho ki Molson Coors, Builders FirstSource aur Trade Desk ko hata rahe hain index se. Trade Desk ka downfall dekh ke lagta hai ki ad-tech space mein competition badh gaya hai. Ab market mein kya chal raha hai, yeh sab news digest karte hue lagta hai ki rotation ho raha hai. Puraane names bahar, naye energy/AI plays andar. Crypto ka isse kya connection? Zyada direct nahi, lekin agar global macro thoda shaky hota hai (housing crash wali baatein), toh risk assets mein volatility aayega. Mera personal take — news ko digest karo, but trades apne risk ke hisaab se karo. Koi bhi aisi news jo 100% confirm ho, woh already price ho chuki hoti hai. Toh yahan bas apne portfolio ko diversify rakhna aur FOMO mein nahi aana, yahi main sochta hoon. Aaj kal tum log market mein kya dekh rahe ho? Koi specific sector jo tumhe lagta hai ki outperform karega?

#Trading #Binance #Crypto #StockMarket #MarketAnalysis

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Personal analysis, not financial advice. DYOR.
Bhai, aaj market ka scene thoda mixed tha. Pehle stocks ne achhi jump mari thi kyunki logon ko lag raha tha Fed rate hike ke chances kam ho rahe hain. Nasdaq ne back-to-back gains banaye, aur Tesla, SpaceX bhi upar gaye kyunki unka Cybercab event paas hai. Lekin baad mein sab palat gaya. Solid jobs data aaya, toh logon ko lagne laga Fed phir se aggressive ho sakta hai. Wall Street ne lower close kiya. Typical hai bhai, ek news aati hai toh market upar jaata hai, agli news aati hai toh gir jaata hai. Robinhood ka stock bhi dekhne laayak hai. Wall Street ke kuch analysts ab uske baare mein zyada bullish ho rahe hain, isliye usme surging dikh rahi hai. Aur haan, ek badi khabar - Trump administration ne Tesla ke self-driving Cybercab ke against probe khol di hai. Ye Tesla ke liye thoda tension ka topic hai, especially jab woh apna naya event dikhane wale hain. Aaj ka din aisa hi raha bhai - kuch positive, kuch negative. Tumhara kya lagta hai, Fed ab agle meeting mein kya karega? ⚠️ Personal analysis, financial advice nahi. #Trading #Binance #Crypto #StockMarket #FederalReserve -- Disclaimer: My personal analysis, not financial advice. DYOR.
Bhai, aaj market ka scene thoda mixed tha. Pehle stocks ne achhi jump mari thi kyunki logon ko lag raha tha Fed rate hike ke chances kam ho rahe hain. Nasdaq ne back-to-back gains banaye, aur Tesla, SpaceX bhi upar gaye kyunki unka Cybercab event paas hai. Lekin baad mein sab palat gaya. Solid jobs data aaya, toh logon ko lagne laga Fed phir se aggressive ho sakta hai. Wall Street ne lower close kiya. Typical hai bhai, ek news aati hai toh market upar jaata hai, agli news aati hai toh gir jaata hai. Robinhood ka stock bhi dekhne laayak hai. Wall Street ke kuch analysts ab uske baare mein zyada bullish ho rahe hain, isliye usme surging dikh rahi hai. Aur haan, ek badi khabar - Trump administration ne Tesla ke self-driving Cybercab ke against probe khol di hai. Ye Tesla ke liye thoda tension ka topic hai, especially jab woh apna naya event dikhane wale hain. Aaj ka din aisa hi raha bhai - kuch positive, kuch negative. Tumhara kya lagta hai, Fed ab agle meeting mein kya karega?

⚠️ Personal analysis, financial advice nahi.

#Trading #Binance #Crypto #StockMarket #FederalReserve

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Disclaimer: My personal analysis, not financial advice. DYOR.
Aaj market ka scene mixed hai. Wall Street ne red close kiya kyunki solid jobs data aaya hai aur ab Fed ke rate cut ki ummeed kam ho gayi hai. Hawkish bets badh rahi hain, toh thoda pressure hai. Bitcoin side dekh rahe ho toh data center aur mining stocks mein aaj rally hai. Cipher Mining 12% jump kiya, TeraWulf 8% aur IREN 4% up. Riot Platforms bhi aaj extend kar raha hai apna rally. Crypto ka momentum in names ko lift kar raha hai. Ek interesting move — Peter Thiel ka fund $59 million ek beaten-down power stock mein daala hai. Power sector ab crypto aur AI data centers ke liye hot hai, toh yeh sahi timing lag raha hai. Tesla pe bhi khabar hai — Trump administration ne unke self-driving Cybercab pe probe khol di hai. Yehi wala autonomous cab jo unhone launch kiya tha. Regulation ka mamla hai, ab dekhna kya action leta hai. Overall, jobs data ne market ko hila diya, lekin crypto-linked plays mein aaj paisa hai. Thiel ka power stock move bhi note karne wala hai — kyunki jab yeh log entry karte hain, toh sector mein flow aata hai. Tumhe lagta hai Fed ke hawkish stance ke bawajood yeh mining/data center rally tik payegi? ⚠️ Personal analysis, financial advice nahi. #Trading #Binance #Bitcoin #Crypto #StockMarket -- Disclaimer: My personal analysis, not financial advice. DYOR.
Aaj market ka scene mixed hai. Wall Street ne red close kiya kyunki solid jobs data aaya hai aur ab Fed ke rate cut ki ummeed kam ho gayi hai. Hawkish bets badh rahi hain, toh thoda pressure hai. Bitcoin side dekh rahe ho toh data center aur mining stocks mein aaj rally hai. Cipher Mining 12% jump kiya, TeraWulf 8% aur IREN 4% up. Riot Platforms bhi aaj extend kar raha hai apna rally. Crypto ka momentum in names ko lift kar raha hai. Ek interesting move — Peter Thiel ka fund $59 million ek beaten-down power stock mein daala hai. Power sector ab crypto aur AI data centers ke liye hot hai, toh yeh sahi timing lag raha hai. Tesla pe bhi khabar hai — Trump administration ne unke self-driving Cybercab pe probe khol di hai. Yehi wala autonomous cab jo unhone launch kiya tha. Regulation ka mamla hai, ab dekhna kya action leta hai. Overall, jobs data ne market ko hila diya, lekin crypto-linked plays mein aaj paisa hai. Thiel ka power stock move bhi note karne wala hai — kyunki jab yeh log entry karte hain, toh sector mein flow aata hai. Tumhe lagta hai Fed ke hawkish stance ke bawajood yeh mining/data center rally tik payegi?

⚠️ Personal analysis, financial advice nahi.

#Trading #Binance #Bitcoin #Crypto #StockMarket

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Disclaimer: My personal analysis, not financial advice. DYOR.
Dekho bhai, aaj ka market kuch khaas nahi raha. Wall Street ne neeche band kiya, kyunki solid jobs data aaya hai, toh ab Fed rate cut ke baare mein itna pakka nahi lag raha. Hawkish bets badh gayi hain, matlab log soch rahe hain Fed shaayad rates kam nahi karega itni jaldi. Ab Oracle ki baat karo, woh agle hafte earnings report karne wala hai. Pichhla saal unka AI wave pe full ride tha, stock bhi kafi chadha. Ab sabki nazar hai ki kya woh is baar bhi expectations pe khara utarta hai ya phir thoda cool down hota hai. Risk hai, reward bhi hai. Tesla pe bhi naya twist aaya hai. Trump administration ne unke self-driving Cybercab ke upar probe khol di hai. Abhi details kam hain, par yeh news aate hi thoda hila sakta hai. Cybercab ka poora concept hi autonomous hai, toh regulator ka dhyan aana natural hai. Baaki Duluth Holdings aur Brady Corporation ke earnings call summaries bhi aaye hain, par koi bada surprise nahi dikha. Routine quarterly stuff lag raha hai. Overall, aaj ka mood thoda cautious hai. Jobs data ne ek alag hi tension de di hai market ko. Agle kuch din Oracle aur Fed ke signals pe depend karega. Tumhe kya lagta hai, Fed ab bhi rate cut karega is saal? ⚠️ Personal analysis, financial advice nahi. #Trading #Binance #Crypto #StockMarket #FederalReserve -- Disclaimer: My personal analysis, not financial advice. DYOR.
Dekho bhai, aaj ka market kuch khaas nahi raha. Wall Street ne neeche band kiya, kyunki solid jobs data aaya hai, toh ab Fed rate cut ke baare mein itna pakka nahi lag raha. Hawkish bets badh gayi hain, matlab log soch rahe hain Fed shaayad rates kam nahi karega itni jaldi. Ab Oracle ki baat karo, woh agle hafte earnings report karne wala hai. Pichhla saal unka AI wave pe full ride tha, stock bhi kafi chadha. Ab sabki nazar hai ki kya woh is baar bhi expectations pe khara utarta hai ya phir thoda cool down hota hai. Risk hai, reward bhi hai. Tesla pe bhi naya twist aaya hai. Trump administration ne unke self-driving Cybercab ke upar probe khol di hai. Abhi details kam hain, par yeh news aate hi thoda hila sakta hai. Cybercab ka poora concept hi autonomous hai, toh regulator ka dhyan aana natural hai. Baaki Duluth Holdings aur Brady Corporation ke earnings call summaries bhi aaye hain, par koi bada surprise nahi dikha. Routine quarterly stuff lag raha hai. Overall, aaj ka mood thoda cautious hai. Jobs data ne ek alag hi tension de di hai market ko. Agle kuch din Oracle aur Fed ke signals pe depend karega. Tumhe kya lagta hai, Fed ab bhi rate cut karega is saal?

⚠️ Personal analysis, financial advice nahi.

#Trading #Binance #Crypto #StockMarket #FederalReserve

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Disclaimer: My personal analysis, not financial advice. DYOR.
Dekho bhai, aaj ka market kuch mixed tha. Pehle yeh Fed wali baat – Waller ne hint diya hai September mein rates hold reh sakte hain. Uss news ke baad stocks thoda upar gaye aur yields neeche aaye. Ussne bola hai "give disinflation a chance" – matlab abhi aur intezaar karo. Lekin doosri taraf, solid jobs data aaya hai, toh Wall Street lower band hua. Hawkish Fed bets badh gaye hain. Toh overall sentiment confused hai – ek taraf Waller ka hold ka signal, doosri taraf strong jobs data. Ab Ciena ki baat karo – earnings beat kiya but guidance in-line tha, toh stock 10% gira. Arista thoda upar tha. Classic case of "good news but not good enough." Aur Tesla pe naya twist – Trump administration ne unke self-driving Cybercab pe probe khol di hai. Abhi details kam hain, but yeh EV and autonomous driving space ke liye kuch signal de sakta hai. Watch out. Mera simple take – Fed ka next move clear nahi hai. Jobs data strong hai, toh inflation wapas aane ka risk hai. Waller ne soft tone diya, but market ko woh confidence nahi mila. Tum log kya sochte ho – September mein Fed hold karega ya cut? ⚠️ Personal analysis, financial advice nahi. #Trading #Binance #Crypto #StockMarket #FederalReserve -- Disclaimer: My personal analysis, not financial advice. DYOR.
Dekho bhai, aaj ka market kuch mixed tha. Pehle yeh Fed wali baat – Waller ne hint diya hai September mein rates hold reh sakte hain. Uss news ke baad stocks thoda upar gaye aur yields neeche aaye. Ussne bola hai "give disinflation a chance" – matlab abhi aur intezaar karo. Lekin doosri taraf, solid jobs data aaya hai, toh Wall Street lower band hua. Hawkish Fed bets badh gaye hain. Toh overall sentiment confused hai – ek taraf Waller ka hold ka signal, doosri taraf strong jobs data. Ab Ciena ki baat karo – earnings beat kiya but guidance in-line tha, toh stock 10% gira. Arista thoda upar tha. Classic case of "good news but not good enough." Aur Tesla pe naya twist – Trump administration ne unke self-driving Cybercab pe probe khol di hai. Abhi details kam hain, but yeh EV and autonomous driving space ke liye kuch signal de sakta hai. Watch out. Mera simple take – Fed ka next move clear nahi hai. Jobs data strong hai, toh inflation wapas aane ka risk hai. Waller ne soft tone diya, but market ko woh confidence nahi mila. Tum log kya sochte ho – September mein Fed hold karega ya cut?

⚠️ Personal analysis, financial advice nahi.

#Trading #Binance #Crypto #StockMarket #FederalReserve

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Disclaimer: My personal analysis, not financial advice. DYOR.
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ສັນຍານກະທິງ
ເປັນຄວາມຈິງບາງສ່ວນ
#WallStreet #stockmarket #MacroEconomics 🏛️ WALL STREET A MEDIA SESIÓN: Las apuestas por tipos altos tiñen de rojo a las Big Tech tras el informe de empleo 📊⚠️ La media jornada en Nueva York refleja con claridad la digestión del shock macroeconómico. El sorpresivo repunte de las nóminas no agrícolas en agosto (nonfarm payrolls surge) no solo frenó el optimismo de inicio de mes, sino que reactivó las apuestas de endurecimiento monetario (rate-hike bets), empujando al Dow Jones (-0.33%), S&P 500 (-0.16%) y Nasdaq (-0.04%) a terreno negativo. 🔍 1. Castigo severo a múltiplos y consumo: 🚗 Sangría en Tesla ($TSLA | $352.93 | -6.23%): Encabeza las pérdidas entre las mega-caps con un retroceso violento que recorta su valoración a $1.393T, reflejando la salida de capital en activos de alta beta. 🍎 Pesadez en gigantes de balance: La subida en los rendimientos del Tesoro presiona a las consolidadas: Apple ($319.00 | -2.81%), Microsoft ($500.46 | -1.89%) y Amazon ($255.78 | -1.21%) profundizan su repliegue intradiario. ⚡ 2. El silicio como bastión defensivo y solidez en SpaceX: 🤖 Desacople en hardware de vanguardia: El apetito estructural por semiconductores sostiene al sector: NVIDIA (+1.63% | $5.606T) y TSMC (+2.12% | $2.208T) cotizan contracorriente en verde, evitando una caída mayor de los índices ponderados. 🛰️ Resiliencia en SpaceX ($SPCX | $149.48 | -0.17%): Muestra una absorción formidable, manteniéndose prácticamente plana tras el sacudón matutino y afianzando una capitalización de $1.970 Billones ($1.970T) en el Puesto #7 global. 🎯 Perspectiva de cierre: El mercado asume que el margen de relajación de la Fed vuelve a estrecharse. Con el mercado laboral mostrando excesiva fortaleza, la atención rota por completo hacia las lecturas de inflación (CPI y PPI) de la próxima semana, que definirán si estamos ante una toma de beneficios pasajera o el inicio de una corrección estacional más profunda. ¡Sesión de alta dispersión sectorial donde la paciencia y la disciplina marcan la pauta! 🧠⚡
#WallStreet #stockmarket #MacroEconomics

🏛️ WALL STREET A MEDIA SESIÓN: Las apuestas por tipos altos tiñen de rojo a las Big Tech tras el informe de empleo 📊⚠️

La media jornada en Nueva York refleja con claridad la digestión del shock macroeconómico. El sorpresivo repunte de las nóminas no agrícolas en agosto (nonfarm payrolls surge) no solo frenó el optimismo de inicio de mes, sino que reactivó las apuestas de endurecimiento monetario (rate-hike bets), empujando al Dow Jones (-0.33%), S&P 500 (-0.16%) y Nasdaq (-0.04%) a terreno negativo.

🔍 1. Castigo severo a múltiplos y consumo:

🚗 Sangría en Tesla ($TSLA | $352.93 | -6.23%): Encabeza las pérdidas entre las mega-caps con un retroceso violento que recorta su valoración a $1.393T, reflejando la salida de capital en activos de alta beta.

🍎 Pesadez en gigantes de balance: La subida en los rendimientos del Tesoro presiona a las consolidadas: Apple ($319.00 | -2.81%), Microsoft ($500.46 | -1.89%) y Amazon ($255.78 | -1.21%) profundizan su repliegue intradiario.

⚡ 2. El silicio como bastión defensivo y solidez en SpaceX:

🤖 Desacople en hardware de vanguardia: El apetito estructural por semiconductores sostiene al sector: NVIDIA (+1.63% | $5.606T) y TSMC (+2.12% | $2.208T) cotizan contracorriente en verde, evitando una caída mayor de los índices ponderados.

🛰️ Resiliencia en SpaceX ($SPCX | $149.48 | -0.17%): Muestra una absorción formidable, manteniéndose prácticamente plana tras el sacudón matutino y afianzando una capitalización de $1.970 Billones ($1.970T) en el Puesto #7 global.

🎯 Perspectiva de cierre:

El mercado asume que el margen de relajación de la Fed vuelve a estrecharse. Con el mercado laboral mostrando excesiva fortaleza, la atención rota por completo hacia las lecturas de inflación (CPI y PPI) de la próxima semana, que definirán si estamos ante una toma de beneficios pasajera o el inicio de una corrección estacional más profunda.

¡Sesión de alta dispersión sectorial donde la paciencia y la disciplina marcan la pauta! 🧠⚡
🇺🇸📈 US STOCK MARKET WATCH The market doesn’t reward emotions. It rewards patience, discipline & strategy. 💰 🔥 AI • Tech • Growth Stocks 👀 $NVDA.US | $AMD | $TSLA | $AAPL | $PLTR Don’t chase the pump. Don’t panic on the dip. Study the market. Trust your strategy. Stay consistent. 📊 Smart money waits for the right opportunity. #stockmarket #Investing #trading #USStocks #Finance {future}(TSLAUSDT) {stock_us}(AAPL.US)
🇺🇸📈 US STOCK MARKET WATCH

The market doesn’t reward emotions.
It rewards patience, discipline & strategy. 💰

🔥 AI • Tech • Growth Stocks
👀 $NVDA.US | $AMD | $TSLA | $AAPL | $PLTR

Don’t chase the pump.
Don’t panic on the dip.
Study the market. Trust your strategy. Stay consistent.

📊 Smart money waits for the right opportunity.

#stockmarket #Investing #trading #USStocks #Finance
TSLA+0,29%
AAPL+0,22%
NVDAUS+0,63%
🚨 U.S. STOCK TRADING PAUSED TONIGHT FOR SYSTEM UPGRADE AFFECTING $NVDAB AND $AAPLB ! ⚡ Order routing for U.S. equities will freeze tonight between 18:50 and 22:00 for a crucial broker upgrade. ⏱️ That is roughly three hours where new order placement goes dark across major names like $NVDAB , $AAPLB , and $GOOGL . Execution services auto-resume once maintenance clears, but progress could shift the timeline. 📌 Smart traders are purging active order books right now to prevent hanging limit orders getting caught off-guard during the blackout. 🚨 💬 Are you clearing your pending bids before 18:50 or letting your open setups ride through the upgrade window? 👇 ⚠️ Not financial advice. Always manage your risk. 🛡️ 🏷️ #NVDAB #StockMarket #TradingAlert #MarketUpdate ⚡ 📌
🚨 U.S. STOCK TRADING PAUSED TONIGHT FOR SYSTEM UPGRADE AFFECTING $NVDAB AND $AAPLB ! ⚡

Order routing for U.S. equities will freeze tonight between 18:50 and 22:00 for a crucial broker upgrade. ⏱️ That is roughly three hours where new order placement goes dark across major names like $NVDAB , $AAPLB , and $GOOGL .

Execution services auto-resume once maintenance clears, but progress could shift the timeline. 📌 Smart traders are purging active order books right now to prevent hanging limit orders getting caught off-guard during the blackout. 🚨

💬 Are you clearing your pending bids before 18:50 or letting your open setups ride through the upgrade window? 👇

⚠️ Not financial advice. Always manage your risk. 🛡️

🏷️ #NVDAB #StockMarket #TradingAlert #MarketUpdate

⚡ 📌
Dekho bhai, aaj ki market news kuch khaas nahi, but kuch cheezein note karne layak hain. Pehle SAIC wala scene hai. Unka revenue 6% badha hai, but book-to-bill ratio sirf 0.6 hai. Matlab naye orders aane ki raftaar slow hai. Unka $22B ka backlog hai, jo kaafi bada hai, but sawaal ye hai ki woh backlog kab convert hoga. Long term ke liye theek hai, but short term mein growth thodi ruk sakti hai. Dell ka afterglow abhi bhi hai. Market unke results se impressed hai, aur ab kuch aur stocks bhi buy points ke paas aa rahe hain. Agar Dell ne momentum diya hai, toh related tech hardware names par nazar rakho. KNOT Offshore Partners ka Q2 earnings call tha. Koi massive surprise nahi, but steady rehna hi unka game hai. Shipping/logistics wale investors ke liye ek normal update hai. Zegna ka thoda mixed scene hai. Direct sales mein strong growth hai, but overall profit margin pe pressure hai. Luxury side mein yeh common hai jab brand apna distribution model change karta hai. Short term mein messy, long term mein shayad achha ho. Aur BYD vs Rivian ka comparison chal raha hai. BYD clearly volume aur global reach mein aage hai. Rivian abhi bhi US mein struggle kar raha hai. Agar 2026 ki baat karein, toh BYD zyada safe bet lagta hai, but Rivian mein upside potential hai agar woh execute kar le. Tum logo ko lagta hai, backlog se zyada important kya hai - naye orders ki speed ya existing backlog clear karna? ⚠️ Personal analysis, financial advice nahi. #Trading #Binance #StockMarket #Economy #AI -- Disclaimer: My personal analysis, not financial advice. DYOR.
Dekho bhai, aaj ki market news kuch khaas nahi, but kuch cheezein note karne layak hain. Pehle SAIC wala scene hai. Unka revenue 6% badha hai, but book-to-bill ratio sirf 0.6 hai. Matlab naye orders aane ki raftaar slow hai. Unka $22B ka backlog hai, jo kaafi bada hai, but sawaal ye hai ki woh backlog kab convert hoga. Long term ke liye theek hai, but short term mein growth thodi ruk sakti hai. Dell ka afterglow abhi bhi hai. Market unke results se impressed hai, aur ab kuch aur stocks bhi buy points ke paas aa rahe hain. Agar Dell ne momentum diya hai, toh related tech hardware names par nazar rakho. KNOT Offshore Partners ka Q2 earnings call tha. Koi massive surprise nahi, but steady rehna hi unka game hai. Shipping/logistics wale investors ke liye ek normal update hai. Zegna ka thoda mixed scene hai. Direct sales mein strong growth hai, but overall profit margin pe pressure hai. Luxury side mein yeh common hai jab brand apna distribution model change karta hai. Short term mein messy, long term mein shayad achha ho. Aur BYD vs Rivian ka comparison chal raha hai. BYD clearly volume aur global reach mein aage hai. Rivian abhi bhi US mein struggle kar raha hai. Agar 2026 ki baat karein, toh BYD zyada safe bet lagta hai, but Rivian mein upside potential hai agar woh execute kar le. Tum logo ko lagta hai, backlog se zyada important kya hai - naye orders ki speed ya existing backlog clear karna?

⚠️ Personal analysis, financial advice nahi.

#Trading #Binance #StockMarket #Economy #AI

--
Disclaimer: My personal analysis, not financial advice. DYOR.
Dekho bhai, aaj ke market mein kuch interesting moves dikhe. Fair Isaac ka stock aaj bekaar mein crash hua, kuch log bol rahe hain valuation ka dar hai. Waise yeh stock bahut upar gaya tha, thoda profit booking bhi ho sakti hai. Baaki overall market thoda gira phir wapas bounce kiya. Snowflake, Dell, Tesla sab par nazar thi. Abhi weekly review mein Jobs Report ka wait hai, woh bada number hai. Sabse bada scene diesel prices ka hai - all-time high touches kar liya. Ye toh transportation cost ko direkt hit karega, matlab har cheez mehengi hogi. Midterms se pehle yeh economy ke liye accha sign nahi hai. Aur haan, US nonfarm payrolls August mein solid rahe, unemployment 4.1% pe steady hai. Matlab Fed ke liye rate cut ka pressure thoda kam ho sakta hai. Lekin diesel ka record high sabko pareshan kar raha hai, kyunki usse har product ki delivery cost badhegi. Inflation phir se upar ja sakta hai. Tumhe kya lagta hai, Fed ab bhi September mein rate cut karega ya yeh strong jobs data unka haath rok dega? ⚠️ Personal analysis, financial advice nahi. #Trading #Binance #Crypto #StockMarket #FederalReserve -- Disclaimer: My personal analysis, not financial advice. DYOR.
Dekho bhai, aaj ke market mein kuch interesting moves dikhe. Fair Isaac ka stock aaj bekaar mein crash hua, kuch log bol rahe hain valuation ka dar hai. Waise yeh stock bahut upar gaya tha, thoda profit booking bhi ho sakti hai. Baaki overall market thoda gira phir wapas bounce kiya. Snowflake, Dell, Tesla sab par nazar thi. Abhi weekly review mein Jobs Report ka wait hai, woh bada number hai. Sabse bada scene diesel prices ka hai - all-time high touches kar liya. Ye toh transportation cost ko direkt hit karega, matlab har cheez mehengi hogi. Midterms se pehle yeh economy ke liye accha sign nahi hai. Aur haan, US nonfarm payrolls August mein solid rahe, unemployment 4.1% pe steady hai. Matlab Fed ke liye rate cut ka pressure thoda kam ho sakta hai. Lekin diesel ka record high sabko pareshan kar raha hai, kyunki usse har product ki delivery cost badhegi. Inflation phir se upar ja sakta hai. Tumhe kya lagta hai, Fed ab bhi September mein rate cut karega ya yeh strong jobs data unka haath rok dega?

⚠️ Personal analysis, financial advice nahi.

#Trading #Binance #Crypto #StockMarket #FederalReserve

--
Disclaimer: My personal analysis, not financial advice. DYOR.
ບົດຄວາມ
Treasury Yields Hit 4.82% Is 5% the Next Market Shock?🚨 Stocks Rebound, But Yields Rise Wall Street bounced back 📈 But the 10 year Treasury yield touched 4.82%, putting 5% in focus. 👀 Stocks are climbing, but rising yields could change the mood fast. Can the rally survive 5%? #TreasuryYields {spot}(HEMIUSDT) {future}(AKEUSDT) {future}(BULLAUSDT) #StockMarket #Markets

Treasury Yields Hit 4.82% Is 5% the Next Market Shock?

🚨 Stocks Rebound, But Yields Rise
Wall Street bounced back 📈
But the 10 year Treasury yield touched 4.82%, putting 5% in focus. 👀
Stocks are climbing, but rising yields could change the mood fast.
Can the rally survive 5%?
#TreasuryYields
#StockMarket #Markets
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