Dove i mercati stavano tendendo 2026-09-11
La lettura netta che abbiamo pubblicato quel giorno, conservata come registro datato. Per vedere dove i mercati stanno tendendo ora, consulta la previsione odierna.
Us Equities
The gist: The outlook for US equities is conflicted, with a tug-of-war between strong AI-driven momentum in technology and rising macroeconomic headwinds. While AI-related hardware, semiconductors, and infrastructure show significant strength, this is being countered by accelerating inflation, rising energy costs, and general macroeconomic risk aversion.
Aggiornato 2026-09-11 14:45 UTC · iscriviti per la lettura netta completa + i mercati che segui
Crypto
The gist: The crypto market direction is conflicted, with a tension between strong policy tailwinds and macro-driven downward pressure. While rapid shifts in US federal policy and increased digital asset adoption in regions like Indonesia lean higher, rising energy costs, inflation concerns, and increased regulatory scrutiny in Italy are creating a leaning lower or sideways sentiment.
Aggiornato 2026-09-11 14:45 UTC · iscriviti per la lettura netta completa + i mercati che segui
Energy
The gist: The energy market is leaning higher, driven by significant upward pressure on oil prices and rising utility costs across various regions. While energy-efficient semiconductor tech and grid-scale storage infrastructure show a higher direction, broader inflationary pressures from fuel and gas are weighing on consumer sentiment and European equities.
Aggiornato 2026-09-11 14:44 UTC · iscriviti per la lettura netta completa + i mercati che segui
Rates Bonds
The gist: The rates and bonds market is leaning higher on yields and rates-sensitive volatility, driven by persistent inflationary pressures and rising energy costs. While some commentary suggests a sideways direction due to unaddressed monetary policy guidance, the weight of the data—specifically higher-than-expected US PPI and ECB rate hikes—points toward a trend of rising global interest rates and downward…
Aggiornato 2026-09-11 14:44 UTC · iscriviti per la lettura netta completa + i mercati che segui
Emerging Markets
The gist: The net direction for emerging markets is leaning lower, driven by a significant volatility event where the EEM dropped -2.2% in a single day on 2026-09-10, a move described as being far outside its normal range. While energy commodities are leaning higher due to surging global oil prices, the broader market sentiment across tech, health, trade, and jobs remains fragile and downward-trending.
Aggiornato 2026-09-11 14:25 UTC · iscriviti per la lettura netta completa + i mercati che segui
Eu Equities
The gist: European equities are leaning lower, driven by significant selling pressure and stagflationary concerns. The market is facing a sharp downward trend, with the Stoxx Europe 600 on track for its largest weekly decline since April following a 25 basis point interest rate hike by the ECB.
Aggiornato 2026-09-11 14:24 UTC · iscriviti per la lettura netta completa + i mercati che segui
Global Macro
The gist: The global macro outlook is leaning lower, driven by significant volatility in Asian markets and tightening monetary conditions in Europe. The dominant driver is a sharp, out-of-range sell-off in Japanese equities, compounded by an ECB interest rate hike and inflationary pressures in Russia. Watch: - The impact of the ECB's deposit rate reaching 2.5% on European equity stability.
Aggiornato 2026-09-11 13:44 UTC · iscriviti per la lettura netta completa + i mercati che segui
Commodities
The gist: The commodities market is experiencing a divergence between surging energy prices and fragility in industrial/transition metals. While energy commodities are leaning higher due to rising inflation (PPI) and geopolitical volatility, the copper mining sector is in a "freefall" following policy updates, and precious metals are trending sideways as they stabilize against shifting interest rate expectations.
Aggiornato 2026-09-11 13:21 UTC · iscriviti per la lettura netta completa + i mercati che segui
Fx
The gist: The FX market is experiencing significant divergence, with a leaning higher for the USD and US Treasury yields driven by persistent US inflationary pressures, while the USD shows signs of weakness against the Norwegian Krone (NOK).
Aggiornato 2026-09-11 13:21 UTC · iscriviti per la lettura netta completa + i mercati che segui
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