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🏝️ @Palawan β˜€οΈ πŸ‡΅πŸ‡­
πŸ‘©β€πŸ¦³ c r s s . m a e
πŸ“· BendPalm.com/inst.php?C4l7UwDyT8H
πŸ“… 2024-03-17
πŸ‘™ @ThongBikini on @BeachGirl 🌊

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The S&P 500 slumped 1.8% on Monday and Tuesday, thanks to China Evergrande, the Chinese property company that looks like it is ready to default on its more-than $300 billion in debt. Cries of the next Lehman Brothersβ€”or maybe the next Silverado?β€”echoed through the canyons of Wall Street as investors prepared for the worst.

Spiking bond yields driving sharp losses in tech stocks

A spike in interest rates since the start of the year has accelerated a rotation out of high-growth technology stocks and into value stocks poised to benefit from a reopening of the economy. The Nasdaq has fallen more than 10% over the past month as the Dow has soared to record highs, with a spike in the 10-year US Treasury yield acting as the main catalyst. It recently surged to a cycle high of more than 1.60% after starting the year below 1%. But according to Jim Paulsen, the Leuthold Group's chief investment strategist, rising interest rates do not represent a long-term threat to the stock market. Paulsen expects the 10-year yield to cross 2% by the end of the year. A spike in interest rates and its impact on the stock market depends on the economic backdrop, according to Paulsen. Rising interest rates amid a strengthening economy "may prove no challenge at all for stocks," Paulsen said.

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