US Yields ka Kaher: Global Markets Red Zone mein, Indian Stocks bhi girne ki tayyari mein!

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AuthorAnanya Iyer|Published at:
US Yields ka Kaher: Global Markets Red Zone mein, Indian Stocks bhi girne ki tayyari mein!
Overview

Arre yaar, duniya bhar ke markets mein aaj hahakaar macha hua hai! US Treasury yields 19 saal ki uchai par pahunch gaye hain, jisse Asian stocks bhi gire hain. Lagta hai Indian market bhi neeche khulega, Gift Nifty ka yahi ishara hai.

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US Yields ka Toofan, Markets Mein Ghabrahat!

Dekho bhaiyo aur behno, aaj puri duniya ke stock markets mein badi giravat dikh rahi hai. Iska sabse bada reason hai US Treasury yields ka seedha 19 saal ki sabse oonchi level par pahunchna. 30-year yield toh 5.197% ke paar chala gaya tha, jo mid-2007 ke baad nahi dekha gaya tha! Inflation ki chintaon ne isko aur hawa di hai. Is bond yield spike ne pure bond market mein bechnewali tez kar di hai aur stocks par pressure bana diya hai.

Asian Markets Ki Bhi Kher Nahi

Asia ke markets bhi is global negativity se nahi bach paaye. Japan ka Nikkei 225 0.88% neeche gira, aur Topix bhi 0.75% down raha. South Korea ka Kospi 0.52% gira, jabki tech-heavy Kosdaq toh 2.15% tut gaya. Australia ka S&P/ASX 200 bhi 0.5% girkar band hua. Hong Kong ke Hang Seng index ke futures bhi neeche hi ishara kar rahe hain.

Indian Market Bhi Khulega Neeche?

Ab baat karte hain apne pyare Indian markets ki. Aaj subah trading session thoda mushkil rehne wala hai. Gift Nifty, jo ki India ke Nifty 50 ka overseas indicator hai, 23,467.50 par trade kar raha hai, jo ek bade gap-down opening ka sanket de raha hai. Pichle session mein, Nifty aur Sensex thoda girkar, 23,618 aur 75,200.85 par band hue the, jahan trading range bahut limited thi.

Aage Kya Ho Sakta Hai?

US Treasury yields ka itna tezi se badhna, khaas kar 30-year rate, ye dikhata hai ki inflation abhi bhi control mein nahi hai ya phir Federal Reserve ka stance thoda strict ho sakta hai. Jab yields badhte hain toh global borrowing costs bhi badh jaate hain, jisse stocks, jo ki zyada risky hain, fixed income investments ke comparison mein kam attractive lagte hain. Investors ab apne portfolios ko re-evaluate kar rahe hain aur risk kam karne ki koshish mein hain, kyuki volatility badh sakti hai. Filhal toh risk-off approach chal raha hai, aur ye tab tak chal sakta hai jab tak inflation aur central bank policies par clear info na mil jaaye. Asian markets par iska asar dikh raha hai, aur ye dikhata hai ki global economic changes kaise regional trading ko affect karte hain. India mein pehle se jo momentum kamzor tha, us par international pressure aur zyada dikh raha hai.

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Disclaimer:This content is for educational and informational purposes only and does not constitute investment, financial, or trading advice, nor a recommendation to buy or sell any securities. Readers should consult a SEBI-registered advisor before making investment decisions, as markets involve risk and past performance does not guarantee future results. The publisher and authors accept no liability for any losses. Some content may be AI-generated and may contain errors; accuracy and completeness are not guaranteed. Views expressed do not reflect the publication’s editorial stance.