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S&P 500 and Dow Edge Higher as 10-Year Yield Slips to 4.65% and Chipmakers Drop

AI مارکیٹ کا خلاصہ
US equities closed mixed as Treasury's larger long-dated buybacks pushed 10Y yields lower, supporting broader risk assets, while semis and AI-infrastructure continued to weigh on Nasdaq. Macro risk remains elevated as Middle East tensions keep the Strait of Hormuz closed, tightening supply expectations and lifting WTI to a multi-week high, offsetting the disinflationary impulse from lower yields. Bitcoin strength also boosted crypto-linked equities.
اثر کی سطح
● ہائی
متاثرہ اثاثے
NCCO1OILWTI2USD/USDT+0.45%
AI تجزیاتی سمجھ · NCCO1OILWTI2USD/USDTAI تجزیاتی سمجھ
● Neutral
ابھی ٹریڈ کریں
⚠️ AI سے تیار کردہ تجزیاتی سمجھ خبروں کے مواد پر مبنی ہے اور صرف معلوماتی مقاصد کے لیے فراہم کی گئی ہے۔ یہ سرمایہ کاری کا مشورہ نہیں ہے اور نہ ہی BingX کے خیالات کی نمائندگی کرتی ہے۔ سرمایہ کاری میں رسک شامل ہے۔ براہ کرم ذمہ داری سے ٹریڈ کریں۔
U.S. stocks ended mixed on Wednesday, with the S&P 500 and Dow posting modest gains while the Nasdaq 100 slipped. The 10-year Treasury yield fell 5 basis points to 4.65% after the U.S. Treasury said it would double buybacks of longer-dated nominal coupon securities to at least $4 billion. Moderna shares jumped more than 176% after reporting positive results from its personalized cancer vaccine trial with Merck & Co. The average 30-year fixed mortgage rate was unchanged at 6.77%.