Equities Brace for Volatilities
Global equity markets are navigating a volatile environment. U.S. stock futures recently fell more than 1 % on renewed trade tension risk and uncertainty around policy direction. Meanwhile, earlier rebounds were triggered by softened rhetoric from key political players, underlining how sensitive markets are to headlines.
Investors are closely watching upcoming corporate earnings, macro data releases, and policy signals from central banks as potential catalysts for further swings.
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