Looking at the fundamentals, I can't understand why the European indices are so high. The CAC is currently at an ATH, and the DAX and FTSE seem to both be gunning for their ATH's. Is this just money shifting away from the US in favour of more defensive stocks for the upcoming global recession? Or is something else going on?$富士膠片控股(ADR)(FUJIY.US)$$卡姆登國家銀行(CAC.US)$$Recon資本DAX德國ETF(DAX.US)$
The main event for the week will be Jerome Powell's rate hike on wednesday this week. The Fed increasing interest rates is the main reason for the market correction these past months. A 50 basis point hike is expected. Anything different will surely move markets. we might even possibly get a big move in the markets off of the expected 50 point move as well. Yields started the week on the rise so we can expect the 50 points at least.$20+年以上美國國債ETF-iShares(TLT.US)$$Cboe 20年以上國債ETF波動率指數(.VXTLT.US)$ ...