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What might the trend and relationship of volatility for various assets suggest about the global markets?
Equities are gaining ground as risk assets attempt to stage a comeback after Trump's latest jawboning tweets on the US-China trade war. But, effectiveness may prove difficult as the President has a history of attempting to move markets.
History shows that equity returns are lower on average beginning in May which has led to the 'Sell in May and Go Away' stock market anomaly. What might this mean for stocks now?
The S&P 500 left behind a reversal warning amidst rising EU-US trade war concerns and the IMF downgrading the 2019 outlook. Equities are bracing in Asia as the Yen may extend gains.
Sentiment collapsed on Friday following dismal European economic data with the S&P 500 leaving bearish reversal warnings. Asia Pacific stocks may fall as anti-risk Japanese Yen gains.
The revised Brexit deal being rejected in Parliament increased the risk of a ‘no-deal’ EU-UK divorce. This may rob equities of gains after climbing on
US Household Net Worth falls by most since the financial crisis to $104.3 Trillion at the end of 2018.
US Dollar resumed rally as CPI report reduced dovish Fed policy bets, sapping upside potential from the S&P 500 which looks more vulnerable. Asia Pacific
What does it mean for financial markets if the US economy maintains its healthy pace while external headwinds noted by the Fed abate? The S&P