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    Home»Forex News»Imported Article – 2025-11-13 20:28:23
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    Imported Article – 2025-11-13 20:28:23

    Bpay NewsBy Bpay News2 months agoUpdated:November 13, 20252 Mins Read
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    Headline: US Stocks Tumble as Chip Weakness and Fed Repricing Weigh on Risk

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    Introduction: US equities fell sharply, with risk appetite fading across major benchmarks. The S&P 500 slid about 1.6%, the Nasdaq Composite dropped roughly 2.3%, and small caps underperformed, with the Russell 2000 down around 2.5%. The retreat arrived without a single clear catalyst, leaving investors to weigh several overlapping pressures.

    Semiconductors led the decline as the AI-driven trade came under fresh scrutiny. Nvidia lost more than 4%, flirting with its weakest close since late October, while other chipmakers also sank. Concerns are resurfacing around heavy AI capital spending, depreciation, and uncertain monetization timelines. Added to that, rapid advances in China, including new chip and open-model developments, have intensified competitive fears, pressuring growth and momentum names tied to the AI narrative.

    A swift repricing of Federal Reserve expectations amplified the move. Market odds for a December rate cut fell from roughly two-thirds to about even, tightening financial conditions at the margins and weighing on high-duration tech shares. While recent hawkish commentary helped nudge rate bets, the timing of the equity pullback appears out of sync with prior signals, underscoring fragile sentiment rather than a discrete policy shock.

    Investors are also starting to debate the 2026 landscape, which could bring renewed policy uncertainty and valuation resets. Potential tariff-related court decisions, midterm election dynamics, and the risk of a broader reckoning for AI-heavy valuations are prompting some rotation into more defensive positioning. Notably, the risk-off tone has not spilled over into all assets: major currencies remain steady and oil prices are higher, although crypto weakened with bitcoin sliding. With cross-asset signals mixed, some may view this as a buy-the-dip opportunity, but conviction is tentative.

    Key Points: – S&P 500 down ~1.6%, Nasdaq Composite off ~2.3%, Russell 2000 lower by ~2.5%. – Semiconductor and AI-linked stocks led declines; Nvidia fell over 4%. – Market odds of a December Fed rate cut eased from about 66% to near 50%. – Growing 2026 risks: potential tariff rulings, midterms, and an AI valuation reset. – Cross-asset moves mixed: FX steady and oil up, while bitcoin and crypto weakened. – Some investors see a potential dip-buying setup, but confidence remains cautious.

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