Dónde se inclinaban los mercados en 2026-08-09
La lectura neta que publicamos ese día, conservada como un registro con fecha. Para ver dónde se inclinan los mercados ahora, consulte la perspectiva de hoy.
Rates Bonds
The gist: The market for rates and bonds is leaning lower, driven primarily by a significant deceleration in the US labor market. While inflation expectations remain a factor, the unexpected contraction in US non-farm payrolls and private sector employment has reduced expectations for near-term Federal Reserve rate hikes, putting downward pressure on US Treasury yields.
Actualizado 2026-08-09 17:44 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue
Global Macro
The gist: The global macro outlook is characterized by a tug-of-war between cooling US labor markets and resurfacing inflation risks driven by energy volatility. While US monetary policy expectations are leaning lower due to weak payroll data, global inflation expectations are leaning higher as Brent crude crosses $100 and maritime security disruptions persist.
Actualizado 2026-08-09 17:16 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue
Us Equities
The gist: US equities are displaying a tug-of-war between momentum in specialized technology and energy infrastructure versus caution surrounding inflation and earnings. While cooling labor data and robust semiconductor/AI-related demand are leaning the market higher, recent insider selling in the payments sector and anticipation of upcoming inflation indicators are creating sideways or leaning-lower pressure.
Actualizado 2026-08-09 17:16 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue
Emerging Markets
The gist: The emerging markets outlook is mixed, with a tension between strengthening industrial/tech sectors and weakening macroeconomic/geopolitical stability. While momentum leans higher for Indian equities, Chinese green technology, and intra-emerging market trade shifts, this is countered by downward pressure from China's cooling inflation data and heightened geopolitical instability in the East Asian and…
Actualizado 2026-08-09 16:23 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue
Crypto
The gist: The crypto market direction is conflicted, with a lean toward lower sentiment overall due to institutional unwinding, fraud concerns, and regulatory sanctions. While cooling U.S. labor data and significant institutional flows into Ethereum spot ETFs and specific high-volume assets provide upward pressure, these are being countered by the termination of major corporate crypto agreements and increased…
Actualizado 2026-08-09 14:43 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue
Energy
The gist: The energy market direction is leaning higher, driven by robust growth in private energy trading, space-related revenue, and projected long-term export expansions in emerging markets. While disruptions to Russian refining capacity and solar supply chains present downward pressure, the overall balance leans positive due to strong performance in specialized energy technologies and high-scale trading profits.
Actualizado 2026-08-09 14:22 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue
Commodities
The gist: The commodities market is leaning higher, driven primarily by strength in precious metals following a weak U.S. jobs report. While emerging market export volumes show upward momentum, the outlook for agricultural commodities remains fragile due to declining global pork prices and labor market shifts. Watch: - Gold price levels following a seven-week high and a weekly increase of 2.39%.
Actualizado 2026-08-09 13:14 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue
Fx
The gist: The FX market shows divergent trends, with the Japanese Yen facing significant downward pressure despite recent intervention efforts. While the Yen's weakness is driving interest in Japanese real estate, the overall direction for the Yen remains a primary driver of volatility in the region.
Actualizado 2026-08-09 12:22 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue
Eu Equities
The gist: The outlook for EU equities is conflicted, with momentum leaning lower due to geopolitical volatility and energy supply fragility, even as specific indices like the CAC 40 reach record highs. While energy concerns are rising due to Middle East conflicts and drought-related river levels, upward momentum in some sectors is being supported by US labor market data showing a contraction of 23,000 jobs.
Actualizado 2026-08-09 12:04 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue
Días anteriores
La perspectiva de cada día tiene su propia página durante un mes, para que puedas retroceder y ver qué se leía en ese momento.
Profundice más allá de la lectura diaria
Su cuenta agrega una suite de finanzas completa: informes de investigación de acciones factuales, actividad de negociación (Formulario 4) de información privilegiada, tenencias 13F de inversores institucionales, resúmenes de ganancias, un monitor de presentación de documentos de la SEC y una API de datos de desarrolladores. Solo datos factuales, obtenidos de la SEC, nunca una recomendación de compra o venta. Una degustación gratuita, con la profundidad total en planes de pago.
Importante: por favor, lea. InvestWhen proporciona información de mercado y educación general para el público. NO es asesoramiento de inversión, fiscal o legal, no es una recomendación personal y no considera sus circunstancias individuales. Los mercados conllevan riesgos y puede perder dinero. El rendimiento pasado no predice resultados futuros. Realice siempre su propia investigación y consulte a un asesor autorizado antes de tomar cualquier decisión.