What to Expect in the Week Ahead ( Tariff Policy Shifts, TSMC and Netflix Earnings)
Real Estate Stocks Down Marginally Amid the Broader Bond Selloff, Rising Yields
A historic week has passed, with both the US stock market and Bitcoin rising in the end, but the market has completely changed!
The volatility of US stocks has rarely exceeded that of Emerging Markets and Bitcoin, while US Treasuries, which have always been regarded as safe Assets, have experienced severe fluctuations, prompting investors to begin questioning the wisdom of holding USA Assets. UBS Group believes that once the Global risk-free interest rates fluctuate, it means that all markets will be disrupted. Analyst Ed Al-Hussainy pointedly stated, "I'm not really worried about a recession; I'm worried about a financial crisis."
From Boring To Booming: How Treasury ETFs Are Beating The Bear
Barclays Flags Bond Market Volatility as Key Threat to Risk Assets
REITs Log $12.2B of Capital Offerings in Q1 - Report