I CFD sono strumenti complessi e presentano un rischio significativo di perdere denaro rapidamente a causa della leva finanziaria. 66% di conti di investitori al dettaglio che perdono denaro a causa delle negoziazioni in CFD con questo fornitore. Valuti se comprende il funzionamento dei CFD e se può permettersi di correre questo alto rischio di perdere il Suo denaro.
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18.08.202213:30 Forex Analysis & Reviews: Stock markets are on the brink of collapse: Earnings season is over

Queste informazioni sono fornite ai clienti al dettaglio e professionisti come parte della comunicazione di marketing. Non contiene e non deve essere interpretata come contenente consigli di investimento o raccomandazioni di investimento o un'offerta o una sollecitazione a impegnarsi in qualsiasi transazione o strategia in strumenti finanziari. Le performance passate non sono una garanzia o una previsione delle performance future. Instant Trading EU Ltd. non rilascia alcuna dichiarazione e non si assume alcuna responsabilità in merito all'accuratezza o completezza delle informazioni fornite, o qualsiasi perdita derivante da qualsiasi investimento basato su analisi, previsioni o altre informazioni fornite da un dipendente della Società o altri. Il disclaimer completo è disponibile qui.

Exchange Rates 18.08.2022 analysis

A combination of factors indicates that the next bearish wave should now begin on global stock markets.

Turning points in the markets are sometimes news-related, but often not. Of course, the news event is usually referred to after the fact in the subsequent narrative, but this is often a retrospective attribution. Often the movement fizzles out, and the net balance of underlying flows shifts due to long-term fundamental factors.

We are experiencing an unprecedented shift in the inflationary regime. Such inflation levels have been seen before (over 40 years ago), but never in such a direct and rapid transition from decades of low inflation. Thus, the market will continually underestimate the extent of the problem.

Exchange Rates 18.08.2022 analysis

In fact, US yields continue to rise. At Jackson Hole, Jerome Powell will likely abandon the "delusional" idea of a Fed pivot by 2023, focusing on the threat posed by entrenched inflationary expectations. The reporting season has largely ended and emphasized that companies can only maintain margins as long as they have substantial pricing power and see no decline in demand. Consumers are still free to spend, but as the labor market begins to cool, it is increasingly dependent on borrowing—a resource effectively being shut down by tightening policies.

The S&P 500's forward 12-month P/E ratio is at 18.2, higher than any level seen from June 2002 to October 2017! Stocks are expensive again as quantitative tightening gains momentum. Other engines of growth in the world - Europe and China - are running out of steam. There are too many fundamentally bearish reasons to put together.

Technically, we have recovered well in the 50%–61.8% Fibonacci retracement field from January's all-time highs.

Exchange Rates 18.08.2022 analysis

Coincidentally, we also stopped short of the 200-day moving average, which was a useless trading guide.

Exchange Rates 18.08.2022 analysis

But if the market pulls back, you will see many armchair commentators get excited about it too, creating bearish information waves.

Eseguito da Andrey Shevchenko
Esperto analista di InstaForex
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I CFD sono strumenti complessi e presentano un rischio significativo di perdere denaro rapidamente a causa della leva finanziaria. 66% di conti di investitori al dettaglio che perdono denaro a causa delle negoziazioni in CFD con questo fornitore. Valuti se comprende il funzionamento dei CFD e se può permettersi di correre questo alto rischio di perdere il Suo denaro.
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