Stock Market Risk Closed at a Medium Risk Level of 40%
Bond market risk
The global bond market risk index remained negative and finished at 62% (last week: 69%).
The regional bond market risk index for the US, Canada and Western Europe closed in negative territory at 71% (last week: 71%).
Current Global Bond Market Risk 62% negative
Stock market risk
US stocks closed mostly lower on Thursday. US stock market risk increased to 36% (positive). Last week US stocks risk closed at a positive level of 35%. US tech stock risk rose to 37% (positive).
The regional stock market risk index for the US, Canada and Western Europe closed at 37%.
Global stock market risk index changed from positive to neutral due to weak Latin American stock markets. Our global stock market risk flagship was at 40% at US market close.
Current US Stock Market Risk 36% positive
Current Global Stock Market Risk 40% neutral
Foreign exchange cross rate risk
The US Dollar is still showing strength against other major currencies.
US Dollar risk index remained positive at 15% (last week: 8%).
Current US Dollar Risk 15% positive
Our FX, bond, and stock market risk ratings have been created to indicate the potential risk of investments on an aggregated basis in percentage points. A low percentage reading suggests a positive and rather low-risk environment for the respective market.
Generally, a risk level equal to or above 60% should indicate a relatively high-risk and unfavorable market environment.
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