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    Home»Forex News»Three Reasons the Stock Market Is on Edge
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    Three Reasons the Stock Market Is on Edge

    Bpay NewsBy Bpay News2 months agoUpdated:November 14, 20253 Mins Read
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    Headline: Tech-Led Selloff Deepens as AI Valuations and Credit Signals Test Risk Appetite

    Introduction: U.S. equity futures retreated in early trade, with S&P 500 futures down about 1.0% and Nasdaq futures off 1.5%, as investors reassessed the durability of the AI-driven rally. High-beta tech names led pre-market declines: Nvidia slipped roughly 2.7%, Palantir fell 3.9%, and Tesla dropped 4.3%.

    The pullback reflects mounting skepticism about AI spending and stretched valuations rather than any single new data point. Market participants are looking beyond near-term growth to the investment bill coming due in 2026 and beyond. The narrative has shifted from limitless capital chasing AI to tougher questions about returns, capital intensity, and who ultimately captures the economics. That change in tone was underscored by recent remarks from OpenAI about a potential government backstop for AI infrastructure, which investors read as a sign that private funding may be tightening. CEO Sam Altman’s tense response to valuation questions only amplified concerns, echoing recent defensiveness from Palantir’s leadership even as insider selling picks up across select tech names.

    Beyond headlines, the bond market is flashing caution. Credit default swaps for several large-cap tech and AI leaders have widened, while corporate bonds show signs of softness as issuance rises and hedging demand increases. Oracle is a case study in the AI euphoria and its comedown: after a one-day surge that briefly crowned its founder the world’s richest, the stock has given back gains and its 30-year notes sold near par in September now trade around 92 cents on the dollar. Meanwhile, strong one-month rallies in AI-adjacent names—from Oracle and CrowdStrike to Microsoft and Alphabet—highlight how quickly sentiment can overshoot and then reverse.

    Adding to the fragile backdrop, traders cite well-known short sellers stepping aside as a contrarian warning that exuberance may have peaked. The combination of softer pre-market tech prices, a more skeptical stance on AI capex, and deteriorating credit signals suggests a market recalibrating risk, with equity multiples and debt costs now moving in opposite directions.

    Key Points: – S&P 500 and Nasdaq futures fell about 1.0% and 1.5%, with Nvidia, Palantir, and Tesla leading pre-market declines. – Investors are questioning AI spending plans and valuation sustainability heading into 2026. – OpenAI’s discussion of a potential government backstop raised concerns about tightening private capital for AI. – Credit risk indicators are worsening: wider CDS spreads and softer bonds for major tech issuers. – Oracle exemplifies the swing in sentiment; shares retraced and its 30-year bonds trade near 92 cents on the dollar. – Signs of capitulation by prominent short sellers add to fears of a potential near-term market top.

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