Sensex falls to 74,207 as Middle East oil shock and Fed policy stance trigger broad equity selloff in India
Sensex drops to 74,207 as Middle East oil shock and Fed's rate stance trigger broad selloff; all sectors decline, led by financials.
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Sensex drops to 74,207 as Middle East oil shock and Fed's rate stance trigger broad selloff; all sectors decline, led by financials.
European markets fell sharply as energy price surges, a weak euro, and ECB uncertainty fueled inflation fears and risk - off investor sentiment.
US stock futures dip as rising oil prices and inflation fears pressure Wall Street; Fed signals fewer rate cuts, volatility expected to persist.
Asia markets shift as yen nears 160, China bond yields rise, signaling policy pause amid inflation, energy volatility, and global rate pressures.
ASX 200 rose 0.3% as tech and energy stocks gained; RBA hiked rates, AUD neared highs, but growth is slowing amid energy-driven inflation risks.
Oil surges on Middle East tensions, metals fall on rate hike fears; sugar rises, cocoa drops; shipping demand up, inflation concerns grow.
The yen fell toward 159.5 per dollar on Tuesday as the BOJ held rates and Japan rejected Trump's call to send warships to Hormuz.
Japan's Nikkei 225 rose 0.5% to around 54,000 on Tuesday, snapping a three-day decline as easing oil prices boosted risk appetite in Asian markets.
South Korea KOSPI climbs 2% to 5,680 as oil prices ease on Strait of Hormuz shipping relief, led by Samsung +3.9% and Hyundai Motor +5.5%.
US stocks rebounded Monday with the S&P 500 up 1.1% and Nasdaq up 1.2% after tankers successfully transited Hormuz, easing energy supply fears.
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.لمزيد من المعلومات، يُرجى قراءة
سياسة ملفات الارتباط وسياسة الخصوصية
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