The broader market index broke below its June closing low as interest rates surged and turmoil rocked global currencies.
| MON, SEP 26, 2022 | | | |
DOW | NAME | LAST | CHG | %CHG | AAPL | 150.77 | +0.34 | +0.23% | INTC | 26.97 | -0.55 | -2.00% | MSFT | 237.45 | -0.47 | -0.20% | |
| S&P 500 | NAME | LAST | CHG | %CHG | AAPL | 150.77 | +0.34 | +0.23% | F | 11.99 | -0.32 | -2.60% | AMD | 66.30 | -1.66 | -2.44% | | | NASDAQ | NAME | LAST | CHG | %CHG | AAPL | 150.77 | +0.34 | +0.23% | AMD | 66.30 | -1.66 | -2.44% | AMZN | 115.15 | +1.37 | +1.20% | | | | |
The S&P 500 notched a new closing low this year, and the Dow Jones Industrial Average fell into bear market territory, on the back of surging interest rates and a global currency market in turmoil. The S&P 500 tumbled roughly 1% to 3,655.04, dipping below the June closing low of 3,666.77. Meanwhile, the Dow slumped more than 300 points and ended the day at 29,260.81. The 30-stock index has slipped into a bear market, now off 20.4% from its Jan. 4 closing high. A surging dollar, and an all-time low reached by the British pound, contributed to market volatility on Monday. The British pound fell 4% at one point to a record low of $1.0382. Bond yields also soared, with the 10-year Treasury yield rising to its highest level since 2010. The 2-year Treasury yield reached its highest point since 2007. "Such U.S. dollar strength has historically led to some kind of financial/economic crisis," wrote Morgan Stanley's Michael Wilson, chief U.S. equity strategist, in a note. |
Some on Wall Street say the recent drop in equity markets could point to oversold conditions. According to CFRA's Sam Stovall, the S&P 500 could be poised for a comeback. "With the 10- and 40-week breadth indicators now again at levels that traditionally indicated a very oversold condition, CFRA thinks the S&P 500 and its constituent sectors and subindustries are ripe for a relief rally," he wrote in a Monday note. "The only question is whether the rally will have legs or get sold into," Stovall added. |
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