Global Markets

Nasdaq Rally and Chip Surge: Pre-Earnings Market Dynamics

724FinanceKemal Tekin
Key Highlights

Nasdaq, teknoloji ağırlıklı hisse senetlerinin çip endüstrisindeki beklenmedik sıçramasıyla gün içinde %**1.4** artış kaydederek yatırımcıların dikkat

Nasdaq Rally and Chip Surge: Pre-Earnings Market Dynamics

Nasdaq reclaimed the spotlight today as chip‑heavy tech stocks surged, lifting the index 1.4% in intraday trading.

Silicon Surge: The Chip Industry’s Resurgent Momentum

  • Nvidia (NVDA) and Advanced Micro Devices (AMD) rallied 3.2% and 2.8% respectively on renewed demand.
  • Manufacturers reported an additional $12.5 billion in orders following eased supply constraints in China.
  • Analysts project inventory ratios to fall 5% in Q2 2024, underpinning the upside.
  • Earnings Frenzy: Medical Giants Brace for Volatility

  • Heavyweights Pfizer, Moderna, and Novavax are expected to post earnings swings between 0.8% and 1.3%.
  • Investors remain wary of vaccine pipeline uncertainties and regulatory lag.
  • Potential FDA approval delays could inject 2.1% volatility into medical stocks.
  • Technical Barometers and Support Levels

  • The Nasdaq Composite is testing the 15,050 resistance after breaking above 14,800.
  • The 50‑day moving average sits at 15,020; a breach could push the target to 15,300.
  • RSI sits at 71, flagging over‑bought conditions and a short‑term correction risk.
  • Risk‑Reward Landscape

  • The ripple effects of China’s real‑estate turmoil on global supply chains, especially chip capacity expansion, remain ambiguous.
  • Bank of Japan (BOJ) policy moves will shape Asia‑Pacific capital flows and indirectly influence Nasdaq trends.
  • Deploying options for downside protection is advisable amid heightened volatility.
  • Markets are currently navigating a tightrope between chip‑sector optimism and medical‑earnings uncertainty. The chip demand rebound fuels Nasdaq’s upward thrust, while medical earnings volatility could trigger short‑term pullbacks. Policy shifts in the Asia‑Pacific and the spill‑over from China’s property distress will recalibrate risk premiums. Diversification and volatility‑hedging tactics—particularly in emerging markets—will be pivotal for extracting upside while safeguarding against downside shocks.

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    Kemal Tekin

    Financial Analyst: Kemal Tekin

    Gelişmekte Olan Piyasalar (Emerging Markets - EM) Masası Şefi. Çin gayrimenkul krizinden Japonya Merkez Bankası (BOJ) faiz kararlarına kadar Asya-Pasifik risklerini trade eden global stratejist.

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