U.S. Treasury yields reached three-year highs on Monday April 18th 2022 as investors adjusted for the Federal Reserve to aggressively raise rates as it tries to stem soaring
inflation that is running at its fastest pace in 40 years.
Data last week showed that the consumer price index jumped
1.2% last month, the biggest monthly gain since September 2005.
In the 12 months through March, the CPI accelerated 8.5%, the
largest year-on-year gain since December 1981.
The Fed is expected to hike rates by 50 basis points at its
May and June meetings, at least. Fed funds futures traders are
expecting the Fed’s benchmark rate to rise to 1.27% in June and
to 2.65% in February, from 0.33% now.
Housing data will be in focus this week for signs on whether
a rapid jump in mortgage interest rates is beginning to dent
demand, with houses already having become less affordable due to
The last time the yield curve inversion led to a recession in the U.S, it took about a year and half as such some experts are saying it may take some time before one happens.
If we take out 4212 and close below that figure on the S&P500 e-Minis then the downward monentum may take us down to these targets: 3924, 3654, 3528. These are according Bob Kendall of the Kendall Report.
The Russian threats against Ukraine is only a minor reason for the decline in the stock market indexes. There were other problems in the US economy before the Russia-Ukraine issue came to the fore. Now we can see that the real-estate or housing market now has challenges. The demand for housing is on the rise because of lower rates or the dash to take advantage of the prevailing low rates and buy a house or houses before the interest rates go up.
The demand is not been met for a couple of reasons which includes the limited supply of housing and limited supply of labour to build the houses.
The fallout from the US real-estate sector can spill into the finance sector pretty soon.
Why Did The Stock Market Crash?
What are key market indicators? Common examples of market indicators
include market breadth, market sentiment, on balance volume, and moving
averages. Some of the most accurate of these indicators include:
Moving Average Convergence Divergence (MACD) Relative Strength Index (RSI) Bollinger Bands Stochastic Oscillator On-Balance Volume Ichimoku Cloud Fibonacci Retracement Levels 52-Week High
How do you know if a market has bottomed? Stocks tend to bottom when
there are few sellers of that particular stock. It sounds ridiculously simple, but think about it: if few sellers exist, more buyers remain and
buyers are more willing to pay a higher price for the stock. This means a price bottom has formed.
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How Russia Ukraine conflict affect stock market?
Stock market news today.
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Wall street stock market today.
How Russia-Ukraine crisis may affect U.S and global markets.
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