Daily Market brief: DAX, S&P and more

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US Markets

  • S&P 500 hits record close (+0.21%), first since October; Dow also at fresh peak as rotation away from high-valuation AI stocks followed Fed rate cut.
  • Sector rotation: Financials and materials led gains; tech declined. S&P 500 trades at ~22x forward earnings (below October peak but above 10-year average).
  • Tech still dominant YTD: Nasdaq +22% in 2025 vs. S&P 500 +17%, underscoring large-cap tech leadership.
  • Broadcom warning: Despite strong revenue outlook, margin caution drove shares -5% after hours, adding pressure on AI-linked sentiment.

German Market

German CPI (MoM) (Nov)

actual    -0.2%

expected    -0.2%

previous  +0.3%

 

German CPI (YoY) (Nov)

actual    +2.3%

expected +2.3%

previous  +2.3%

 

Price Action

  • Current price: 24,432.5, up +37.9 (+0.15%).
  • Chart shows a defined range:
    • Resistance: ~24,785.6 (upper green line).
    • Support: ~23,786.7 (yellow line).
    • Longer-term support: ~22,000 (red line).
  • Price has rebounded sharply from late November lows and is now approaching the upper boundary of the range, signaling a potential test of resistance.

Indicators

  • MACD (12,26,9):
    • MACD line above signal line, histogram positive → bullish momentum building.
    • Current values: MACD ~102.7, Signal ~71.6.
  • RSI (14):
    • ~62.89 → neutral-to-bullish, not overbought (threshold >70).
  • ATR (14):
    • ~237 points → moderate volatility, no extreme swings.

Trend & Outlook

  • Short-term trend: Bullish momentum emerging, supported by MACD crossover and RSI strength.
  • Market remains in consolidation phase between 23,786 and 24,785.
  • Break above 24,785 could trigger continuation toward new highs; failure at resistance may lead to pullback toward 24,000 or 23,786.

Global Markets

  • Japan rallies: Nikkei +1.4%, Topix at record close; investors positive on Fed cut, awaiting BOJ decision.
  • Commodities: Copper hits record highs on Chinese stimulus hopes and weaker dollar; Asian equities broadly higher despite tech bubble concerns.

Valuation & Bubble Risk

  • BIS warns of bubble traits: S&P 500 P/E ~29, near pre-dotcom levels; retail investor influence rising.
  • Counterpoint: Tech profitability strong (margins >30–35%), NASDAQ P/E ~30 vs. ~65 during dotcom peak → overheating risk concentrated outside tech.

Music Industry Outlook (2026)

  • AI reshaping production: Share of fully AI-generated uploads rose from 10% (Jan) to 34% (Nov).
  • Risks: commoditization of content; Opportunities: licensing catalogs for AI training, monetizing superfans via premium access and exclusive content.
  • Streaming platforms and major labels positioned to benefit from new monetization models.

Oil Market Outlook (2026)

  • Persistent supply surplus: Brent at $63/bbl; oversupply driven by US/Brazil output and partial rollback of OPEC+ cuts.
  • High inventories and “missing barrels” (~1.5M bpd) could deepen surplus if released.
  • Low oil prices ease inflation pressure, reducing need for further rate hikes.

Asia Governance Reforms

  • Japan, China, Korea pushing for higher ROE via dividends, buybacks, and leaner balance sheets.
  • MSCI AC Asia price-to-book ratio rose from ~1.3 (2023) to ~1.8 (2025).
  • Japan leads in buybacks; China shows strongest dividend growth; Korea mixed.

Notable Headlines

  • Trump to push for loosening marijuana restrictions.
  • US Treasury planning expanded R&D tax breaks.
  • US to require AI vendors to measure political bias.
  • Trump touts energy price lows and market highs; tariffs cited as revenue source.
  • Trump signs executive order on AI, aiming for a unified national standard.

 

-Philip Papageorgiou – Market Analyst
--X ex Twitter: PhilipForexCom
 

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