The US stock markets displayed a slightly positive and mixed performance on April 9, 2025, with the Nasdaq leading the way by rising 1.25%. However, global markets witnessed a sharp decline due to escalating US-China trade tensions. The US bond market experienced turmoil, leading to the 30-year Treasury yield exceeding 5%. Simultaneously, the dollar depreciated, prompting investors to flock towards safer assets like gold.

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Nasdaq leads mixed US stock market performance; global markets decline amid US-China trade tensions, bond market turmoil.
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