
Stocks on the American market are under testing this week. The first days of trading have been influenced by instability and sharp fluctuations. In particular, the financial sector has faced unexpected changes. At the same time, technological companies have not maintained their position, and oil prices have also continued their decline.
Strategists note that the current market conditions are related to expectations regarding future inflation and an increase in key interest rates. In this regard, the Federal Reserve maintains its position and speaks about the possibility of further tightening of monetary policy.
Companies are actively working on recovery after the global deficit. Analysts warn that new inversion of the yield curve could be a serious signal of impending problems in the market.