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Bitcoin faces a critical juncture around the $60,000 mark. A break below this level could ignite significant market volatility. Options contracts and Bitcoin-backed loans are positioned to amplify downward pressure. Analysts warn of potential forced selling and cascading liquidations. This scenario could lead to a sharp price correction. Investors are closely watching this key price point for future movements.
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The S&P 500, the Nasdaq and the Dow all declined for the week with technology stocks on a roller-coaster ride due to uncertainty about the extent to which profits could be disrupted due to AI ‌competition and the hefty ⁠spending needed ⁠to support the technology.
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Alphabet’s recent $31.51 billion global bond sale highlights strong investor demand for AI hyperscalers, but raises concerns over a lack of investor protections. The “century” bond and similar offerings from tech giants like Oracle and Meta omit crucial covenants, potentially setting a precedent for future debt issuances.
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The India-US trade deal has significantly improved India’s investment climate and export competitiveness, shifting the outlook for Indian equities to a decisive risk-on stance. With benchmark valuations below long-term averages, this reset creates headroom for multiple expansion alongside improving earnings visibility, particularly benefiting sectors like pharmaceuticals and gems.
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