The CAC 40 is testing a major support zone near €8,400 after breaking its 50-day EMA amid luxury-stock losses and rising bond yields.
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The CAC 40 is testing a major support zone near €8,400 after breaking its 50-day EMA amid luxury-stock losses and rising bond yields.
The DAX drifts lower toward €26,000 as rising Bund yields, weak Asian markets, and sector divergence pressure the index despite its broader uptrend.
The DAX pulls back toward 26,000 as Middle East tensions, energy supply risks, rising wedge pressure, and German industrial concerns weigh on sentiment.
NASDAQ 100 breaks above 30,000 as ascending triangle momentum, dip-buying demand, FOMO risk, and Middle East volatility shape the path toward 30,600.
CAC 40 retreats from recent highs as Middle East tensions, energy cost risks, luxury sector pressure, and 50-day EMA support shape the outlook.
The S&P 500 pulls back as Middle East tensions pressure risk appetite, but ascending triangle momentum, Fed expectations, and support near 7,750 keep the uptrend intact.
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NASDAQ 100 remains bullish as technical breakout momentum, earnings season strength, AI trade support, and 50-day EMA dip-buying shape the outlook.
The DAX consolidates near 26,400 as Middle East tensions, German energy risks, central bank expectations, and dip-buying support shape the outlook.
CAC 40 pulls back as traders watch 8,650 support, luxury sector risks, Middle East uncertainty, energy supply concerns, and broader European strength.
The S&P 500 holds its bullish trend as a pennant setup, earnings season momentum, dip-buying demand, and breakout targets support further upside.
Nasdaq 100 tests major resistance as AI-led tech gains, steady CPI data, bullish pennant momentum, and dip-buying demand support the outlook.
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