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Falling Inflation and Positioning Will Fuel Further Market Recovery - JPMorgan

By Senad Karaahmetovic Marko Kolanovic, JPMorgan's chief global markets strategist, reiterated his bullish view on U.S. equities as he believes inflation “will resolve on its...
Falling Inflation and Positioning Will Fuel Further Market Recovery - JPMorgan © Reuters. Falling Inflation and Positioning Will Fuel Further Market Recovery - JPMorgan's Kolanovic

By Senad Karaahmetovic

Marko Kolanovic, JPMorgan's chief global markets strategist, reiterated his bullish view on U.S. equities as he believes inflation “will resolve on its own as distortions fade.”

Falling CPI numbers in the coming months are likely to drive a Fed pivot, which will be a major positive catalyst for stocks.

“Incoming CPI releases (e.g. recent declines in gasoline, airfares, used cars, etc.) continue to support our call for a large but uneven fall in 2H22 inflation. The largest disinflationary impulse is expected to come in the US followed by EM, while Europe inflation will remain higher due to Energy prices,” Kolanovic said in a client note.

In addition to declining inflation, the rebound in equities is underpinned by bearish positioning. Moreover, JPM’s top strategist sees the U.S. midterm elections as a potential positive catalyst for risk assets in Q4.

Kolanovic also argues that the Fed would be making a mistake if it increases the risk of a hawkish policy error and endangers the market stability.

“We remain of the view that the 2020s will look nothing like the 2010s, and many of the investment trends – e.g. Tech, ESG, or low vol investing – will be turned upside down,” Kolanovic concluded.

Results from last week’s survey conducted by JPMorgan show that equity exposure/sentiment is ~44th percentile with only 38% of investors planning to increase equity exposure, which is a record low.

77% of survey respondents said we’ve seen the peak in US core CPI. As far as expectations for Jackson Hole are concerned, every second surveyed investor expects no change in policy and tone from Powell while 43% expect a more hawkish Fed.

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01-05-2024 10:45:17 (UTC+7)

EUR/USD

1.0658

-0.0008 (-0.07%)

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EUR/USD

1.0658

-0.0008 (-0.07%)

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GBP/USD

1.2475

-0.0015 (-0.12%)

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USD/JPY

157.91

+0.12 (+0.07%)

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AUD/USD

0.6469

-0.0003 (-0.05%)

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Neutral

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USD/CAD

1.3780

+0.0003 (+0.03%)

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EUR/JPY

168.32

+0.10 (+0.06%)

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EUR/CHF

0.9808

+0.0001 (+0.01%)

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Gold Futures

2,295.80

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Silver Futures

26.677

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Copper Futures

4.5305

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Crude Oil WTI Futures

81.14

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Brent Oil Futures

85.62

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US Coffee C Futures

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Euro Stoxx 50

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S&P 500

5,035.69

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DAX

17,921.95

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FTSE 100

8,144.13

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Hang Seng

17,763.03

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US Small Cap 2000

1,973.05

-42.98 (-2.13%)

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IBEX 35

10,854.40

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BASF SE NA O.N.

49.155

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Bayer AG NA

27.35

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Allianz SE VNA O.N.

266.60

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Adidas AG

226.40

-5.90 (-2.54%)

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Deutsche Lufthansa AG

6.714

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Siemens AG Class N

175.90

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Deutsche Bank AG

15.010

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    EUR/USD 1.0658 ↑ Sell  
    GBP/USD 1.2475 ↑ Sell  
    USD/JPY 157.91 ↑ Buy  
    AUD/USD 0.6469 Neutral  
    USD/CAD 1.3780 ↑ Buy  
    EUR/JPY 168.32 ↑ Buy  
    EUR/CHF 0.9808 Neutral  
    Gold 2,295.80 ↑ Sell  
    Silver 26.677 ↑ Sell  
    Copper 4.5305 ↑ Buy  
    Crude Oil WTI 81.14 ↑ Sell  
    Brent Oil 85.62 ↑ Sell  
    Natural Gas 1.946 ↑ Sell  
    US Coffee C 213.73 ↑ Sell  
    Euro Stoxx 50 4,920.55 ↑ Sell  
    S&P 500 5,035.69 ↑ Sell  
    DAX 17,921.95 ↑ Sell  
    FTSE 100 8,144.13 Sell  
    Hang Seng 17,763.03 ↑ Sell  
    Small Cap 2000 1,973.05 ↑ Sell  
    IBEX 35 10,854.40 Neutral  
    BASF 49.155 ↑ Sell  
    Bayer 27.35 ↑ Sell  
    Allianz 266.60 ↑ Sell  
    Adidas 226.40 ↑ Sell  
    Lufthansa 6.714 Neutral  
    Siemens AG 175.90 ↑ Sell  
    Deutsche Bank AG 15.010 Neutral  
Mua/Bán 1 chỉ SJC
# So hôm qua # Chênh TG
SJC Eximbank8,300/ 8,500
(8,300/ 8,500) # 1,298
SJC 1L, 10L, 1KG8,300/ 8,520
(0/ 0) # 1,510
SJC 1c, 2c, 5c7,380/ 7,550
(0/ 0) # 540
SJC 0,5c7,380/ 7,560
(0/ 0) # 550
SJC 99,99%7,370/ 7,470
(0/ 0) # 460
SJC 99%7,196/ 7,396
(0/ 0) # 386
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Cập nhật lúc 10:45:15 01/05/2024
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