Experts at investment bank Goldman Sachs warned of serious fluctuations in financial markets, which could potentially provoke both the emergence of the coronavirus vaccine and the failure of its trials.
In the first case, GS analysts note, the S&P 500 index is capable of rising to 3700, and in the second, it can fall to 2200 points. This forecast made experts feel wary.
Index growth factors
In its report, Goldman Sachs writes that investors are paying insufficient attention to the potential for successful vaccine trials. If this does happen, then market trends will change faster than expected. Bonds will be the first to suffer and will be disposed of. Then funds will accumulate in the shares of traditional cyclical companies and banks, leaving the technology sector. The latter is likely to lose its leadership.
A factor such as the US presidential election will have an additional impact, according to Goldman Sachs. The potential loss of the incumbent White House along with the good news about the vaccine will push up emerging market stocks.
Analysts say that under such circumstances, the S&P 500 index could rise to 3700 points.
Index decline factors
If all of the above circumstances do not add up to a single picture, and in addition to everything, the second wave of coronavirus will rage stronger than expected, then Goldman Sachs does not exclude a potential drop in the S&P 500 index to 2,200 points.
Morgan Stanley, represented by analyst Michael Wilson, warned about the possibility of negative developments even earlier, the very one who correctly predicted the market situation in March this year. Earlier this month, he talked about the possibility of reducing the S&P 500 by 10%. True, he focused on the fact that after such a correction, growth can resume, while demonstrating a healthier and broader character. The prerequisites for the resumption of growth, as per Wilson, is the economic recovery and the growth of corporate profits.
However, it is not known how the so-called "August curse" will affect all the forecasts made above. Recall that over a decade and a half, the S&P 500 has always declined in the last month of the summer. The average decline over the years was 0.4%. But the uniqueness of this year's situation, some analysts believe, could break the traditional "August trend". Experts are already saying that the market volatility is lower than that which usually accompanies the corporate reporting season.
Influence of the virus
The corona crisis is exerting tremendous pressure on the global economy. However, the S&P 500 index specifically did not always meet the expectations of experts monitoring the impact of the pandemic on the financial market. The first news about COVID-19 recorded a growth of about 3%, which then fell sharply in February-March by 34%, and from March 23 it gradually increased, which it continues to do to this day, by 42%.
The coronavirus has had a direct impact on Goldman Sachs as well. Investbank in the second quarter of this year showed 41% in revenue over the same period last year of more than $ 13 billion. This is the second largest quarterly income of the bank in history.
主流加密貨幣依然處於分化狀態,難以建立穩固的基礎。比特幣當前正經歷顯著的波動,本週已出現虧損。
S&P 500 指數在最近幾個月中錄得最大單日漲幅之一。上漲的勢頭在5,516附近放緩,但如能突破關鍵阻力位5,669.50,則可能開啟一波新的中期漲勢。
美國股指在白宮宣佈對中國商品進行新一輪關稅後收低。稅率可能升至104%,這對進口商品造成直接打擊,並明確傳遞出貿易緊張局勢將繼續升級的訊息。
在華盛頓意外出手後,全球市場陷入瘋狂:美國對中國商品徵收高達104%的驚人關稅。特朗普總統的決定立即影響了投資者情緒,並引發了一波如同危機的動盪。
特朗普政府最新一輪的關稅正在重塑經濟預期。高盛現預測未來12個月內將出現經濟衰退,而摩根大通的分析師則預測美國GDP增長將減少0.3%。
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