Archivo · 2026-09-05

Dónde se inclinaban los mercados en 2026-09-05

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.

Global Macro

The gist: The global macro outlook is leaning higher for inflation and interest rate pressures, driven by escalating Middle East geopolitical instability and rising energy costs. While US labor strength and AI-related manufacturing growth provide upward momentum in specific sectors, the broader sentiment leans lower for risk assets and global commodity stability due to trade tensions and volatility in Asian…

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Actualizado 2026-09-05 23:43 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue

Emerging Markets

The gist: Emerging markets are leaning higher, driven primarily by significant momentum in China and Hong Kong equities and strong trade performance in East Asia. While global money market funds saw a massive $46.1 billion weekly inflow as investors sought cash amid rising tensions, the dominant trend is characterized by rapid buying in China/Hong Kong and record-breaking export figures from South Korea.

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Actualizado 2026-09-05 23:13 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue

Fx

The gist: The FX market is showing conflicting signals, with a lean toward USD weakness against the JPY due to potential shifts in capital flows and dovish Fed commentary, balanced against upward pressure from strong US labor data and rising inflation. While the USD index recently hit a 1.5-week low, the net direction remains uncertain as rising Japanese interest rates may drive a move from U.S.

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Actualizado 2026-09-05 22:43 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue

Rates Bonds

The gist: The rates and bonds market is currently characterized by a tug-of-war between upward and downward pressures, resulting in a net sideways direction driven by heightened uncertainty. While robust U.S. job growth and persistent 3.4% inflation lean rates higher, these pressures are being countered by potential geopolitical easing that could lower energy costs and a cooling U.S. housing market.

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Actualizado 2026-09-05 21:18 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue

Crypto

The gist: The crypto market shows a complex, mixed direction with a slight lean toward higher momentum for major assets and crypto-linked equities, though this is tempered by macro and regulatory headwinds. While Bitcoin has seen significant monthly gains and capital is reportedly rotating from AI stocks into Bitcoin and ETFs, strong US employment data has previously pressured price levels, and increasing regulatory…

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Actualizado 2026-09-05 21:18 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue

Eu Equities

The gist: The outlook for EU equities leans lower, driven by a weekly decline in the Stoxx 600 and broader geopolitical tensions. While specific sub-sectors like maritime and UK healthcare infrastructure show upward momentum, these are offset by a fragile automotive sector and downward pressure in tech-oriented equities. Watch: - Geopolitical volatility and reports regarding Russia's use of chemical weapons.

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Actualizado 2026-09-05 20:43 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue

Us Equities

The gist: US-equities appear to be moving sideways as conflicting drivers create a tug-of-war between high-margin AI/tech growth and macro-driven fragility. While AI-driven enterprise software and semiconductor demand show strength, the market faces downward pressure from seasonal valuation concerns, rising interest rate fears following a strong jobs report, and institutional selling in specific semiconductor names.

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Actualizado 2026-09-05 20:18 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue

Commodities

The gist: The commodities market is showing significant divergence, with energy commodities leaning higher due to geopolitical conflict, while precious metals face conflicting pressures. While US labor strength and jobs data are driving a selloff in global gold and silver, domestic gold prices have shown resilience, and energy prices (Brent and WTI) have seen substantial increases.

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Actualizado 2026-09-05 16:23 UTC · Regístrese para obtener la lectura neta completa + los mercados que sigue

Energy

The gist: The energy market direction is leaning higher, primarily driven by escalating geopolitical volatility and supply risk premiums stemming from tensions in strategic maritime corridors like the Bab al-Mandab Strait.

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Actualizado 2026-09-05 16:23 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.