U.S. stock indices dropped as hotter-than-expected August PPI inflation and crude oil surging past $100 per barrel stoked Federal Reserve rate hike fears. Tech and semiconductor equities led the down…
US equities fell as hotter PPI data raised Fed rate hike expectations to 71%, driving Treasury yields higher. Crude oil surged nearly 7% following geopolitical tensions around the Bab el-Mandeb Strai…
August wholesale inflation met expectations, fueling higher bond yields and lifting Federal Reserve rate hike probabilities. Major equity benchmarks slid, with the S&P 500 and Nasdaq each falling 0.6…
Oil surged past $100 per barrel amid escalating Middle East military conflicts involving Iran, Saudi Arabia, and the U.S. The surge sparked severe inflation worries, sending Treasury yields higher an…
Surging oil prices above $100 driven by Middle East disruptions and climbing 10-year Treasury yields (4.836%) have hammered U.S. stock indices. With sticky inflation raising risks of further Fed rate…
Oil surged above $107 per barrel amid escalating Middle East conflict, exacerbating inflation fears and driving 10-year Treasury yields up to 4.95%. Rising odds of imminent central bank interest rate…
Escalating military conflict in the Strait of Hormuz pushed Brent above $100 and WTI toward $98. The severe crude supply shock has reignited global inflation fears and central bank rate hike expectat…
U.S. stock futures slid Tuesday, with Apple dropping 2.51% ahead of its upcoming product launch event. Markets faced headwinds from surging crude oil prices above $99 per barrel, rising Treasury yiel…
Gold steadied near $4,400 as rate hike expectations from the Fed, ECB, and BOJ offset safe-haven demand fueled by US-Iran tensions. Rising oil prices have renewed inflation concerns, keeping central …
Strong US jobs data and soaring crude prices have heightened Federal Reserve rate-hike fears, pressuring equities. With Brent near $97 following Strait of Hormuz disruptions, upcoming CPI and PPI rep…
Surging Treasury yields, potential Federal Reserve rate hikes, elevated energy prices, and midterm election uncertainty threaten US stock indices. While near-term corrections are historically likely …
U.S. stock indices and gold retreated following a stronger-than-expected August jobs report that reignited Federal Reserve interest rate hike concerns. Strong employment growth pushed 10-year Treasur…
U.S. stocks fell as August nonfarm payrolls surged by 162,000, tripling expectations. The robust labor market and 4.1% unemployment rate lifted expectations for Federal Reserve interest rate hikes to…
US stocks dipped following a monthly jobs report adding 162,000 positions, stoking concerns over upcoming Federal Reserve interest rate hikes. While Brent crude eased below $95 per barrel and broader…
Escalating Middle East tensions have pushed oil prices higher, reviving fears of persistent inflation and Federal Reserve rate hikes. Heightened market volatility and falling consumer confidence are …
A blowout August payroll report of 162,000 jobs sparked fears of Federal Reserve rate hikes, sending U.S. equities lower. The S&P 500 slipped 0.3% amid violent sector rotation, with semiconductors su…
JPMorgan Chase shares slipped roughly 1.6% following a hotter-than-expected August jobs report that boosted Federal Reserve rate hike expectations. Despite higher interest margins supporting near-ter…
August US payrolls surged to 162,000, tripling forecasts and revising prior months upward. The blowout jobs report revived Federal Reserve interest rate hike bets, triggering sharp selloffs and heavy…
The US added 162,000 jobs in August, roughly tripling expectations alongside upward revisions to prior months. The blowout report drove market expectations of a September Federal Reserve rate hike to…