Core Viewpoint - The article discusses the current state of U.S. and global markets, highlighting key economic indicators and trends that may impact investment strategies and market performance [1] Group 1: Economic Indicators - U.S. inflation rate remains a critical focus, with recent data showing a year-over-year increase of 3.7% [1] - The Federal Reserve's interest rate decisions are influenced by ongoing inflation concerns, with expectations of potential rate hikes in the near future [1] - Global supply chain disruptions continue to affect various industries, leading to increased costs and delays in production [1] Group 2: Market Trends - Stock market volatility is observed, with major indices experiencing fluctuations due to economic uncertainty and geopolitical tensions [1] - Technology and healthcare sectors are highlighted as areas of potential growth, driven by innovation and increased demand [1] - Energy prices have seen significant changes, with crude oil prices rising by approximately 10% over the past month, impacting related industries [1]
Morning Bid: Tech turbulence and data deluge due
Reuters·2025-11-12 11:35