
Tech-Led Shakeout: How the AI Rout Is Reshaping Risk Assets
A global tech and AI selloff is hitting equity futures and risk assets, forcing traders to rethink growth, valuations, and rate risk across markets.
Stock market news, equity analysis, and investment strategies. Coverage of major indices, blue-chip stocks, and emerging market opportunities.

A global tech and AI selloff is hitting equity futures and risk assets, forcing traders to rethink growth, valuations, and rate risk across markets.

A global tech and chip selloff is hitting equity index futures and stock-linked risk assets, reshaping volatility and offering a live-fire training ground for disciplined traders.

A sharp tech and chip sell-off has dragged US indices lower and left Nasdaq and S&P 500 futures wobbling. Here’s what that means for volatility, derivatives, and active traders.

A sharp tech and chip sell-off on Wall Street is rippling through global stocks, FX and crypto. Here’s what’s driving the rout and how traders can navigate the next phase.

Asia stocks and oil are slipping as traders reprice Fed expectations after U.S. Iran sanctions waivers, reshaping inflation views and cross‑asset risk.

UBS stays bullish on global equities, eyeing powerful 2026 EPS growth and an $820B AI-capex wave that could reshape index and sector futures opportunities.

AI-fueled gains in Taiwan and Korea contrast with weaker Asian currencies as U.S.-Iran peace uncertainty reshapes EM FX and index futures trading.

An oil spike above $90 is reviving inflation fears, reshaping Fed expectations, and putting fresh pressure on U.S. equities. Here’s what it means for sectors, volatility, and traders.

A sharp jump in US tariffs on China to 145%, and Beijing’s retaliation, is jolting equities, FX, and volatility. Here’s what it means for traders and why this trade shock matters.