Saudi Main Index Holds Steady Despite Broad Sector Declines Amid Active Liquidity
Saudi main index rose 0.22% despite broad sector declines and active liquidity; blue-chip stocks helped offset wider market weakness.
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Saudi main index rose 0.22% despite broad sector declines and active liquidity; blue-chip stocks helped offset wider market weakness.
DAX nears 3-month low as energy crisis fears, rising bond yields, and geopolitical risks hit German stocks and dim ECB rate cut hopes.
Jordan's producer prices fell 2.9% in Jan 2026, led by drops in manufacturing and energy costs, marking the steepest decline since Sep 2023.
Japan's stocks fell, yen weakened, and bond yields rose amid energy cost pressures, inflation fears, and strong bond auction demand.
Saudi stocks fell 2.18% in broad sell-off; Aramco limited losses. Liquidity high, risk aversion up. Defensive stocks, sukuk gained.
Saudi stocks fell 2.43% amid regional tensions, with most sectors down and investors shifting to risk reduction despite steady trading activity.
European stocks closed mixed as slowing German inflation supports steady rates, but banks and industrials face pressure amid divergent data.
Canada's Q4 2025 GDP shrank 0.2%. Yields fell, dollar rose on trade and oil. Equities dipped; energy and gold stocks up. Outlook cautious.
Hong Kong stocks fell 0.9% post-holiday amid geopolitical tensions, low liquidity, and ahead of key unemployment data; tourism demand offers support.
Elliott urges LSEG to restructure, improve AI use, and launch a £5B buyback amid share volatility and IPO slowdown, seeking higher shareholder value.
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سياسة ملفات الارتباط وسياسة الخصوصية
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