FMP

FMP

Asian Stocks Mixed Amid Tariff Threats and Geopolitical Tensions

-

twitterlinkedinfacebook
blog post cover photo

Image credit: m.

Market Snapshot

  • S&P 500 Futures: Down 0.4% in Asian trading after Trump's tariff warning.

  • Shanghai Composite & CSI 300: Slight declines following earlier week gains.

  • Hang Seng: Off 0.5%, hurt by weak trade‑deal details and domestic factors.

Track real‑time volume and price movers with the Market Most Active API, which highlights Asian equities seeing the biggest trading interest amid volatile headlines.

Geopolitical & Oil Price Impact

  • Middle East Risks: Reports of stalled Iran nuclear talks and potential Israeli strikes drove oil higher.

  • Commodity‑Linked Indexes: Energy and materials indices outperformed, cushioning broader losses.

  • Risk Appetite: Elevated geopolitical risk weighed on broad market rallies.

Trump's Tariff Warning vs. Trade‑Deal Optimism

  • Tariff Letters Incoming: Trump plans to dispatch letters outlining new tariffs to major partners within two weeks—“take it or leave it.”

  • Trade Framework Lacks Detail: U.S.-China agreement in London offered no binding commitments, keeping tariffs at May's reduced levels.

  • Investor Dilemma: Balancing headline optimism with policy uncertainty.

Sector Performance & Commodities

  • Energy Stocks: Benefited from rising crude; look for patterns in energy sector returns via the Sector Historical Market Overview API.

  • Technology & EVs: Chinese EV makers like BYD and NIO extended declines (> 2%) on fading trade optimism and local headwinds.

  • Financials: Banks and insurers showed mixed performance, reflecting sensitivity to U.S. yield shifts.

Outlook

Investors remain in a wait‑and‑see mode, watching for:

  1. Specific Tariff Actions: Detailed country lists and tariff rates.

  2. Final Trade‑Deal Text: Binding language on rare‑earth exports and semiconductor controls.

  3. Geopolitical Developments: Any escalation in the Middle East or fresh diplomatic breakthroughs.

Until clarity arrives, expect continued rotation between safe‑haven sectors (energy, materials) and growth‑oriented tech names—guided by real‑time data from FMP's market and sector APIs.

Other Blogs

Nov 22, 2024 5:08 AM - Parth Sanghvi

Fundamental Analysis: Principles, Types, and How to Use It

Fundamental analysis is one of the most essential tools for investors and analysts alike, helping them assess the intrinsic value of a stock, company, or even an entire market. It focuses on the financial health and economic position of a company, often using key data such as earnings, expenses, ass...

blog post title

Dec 17, 2024 8:58 AM - Sanzhi Kobzhan

Examining Tesla’s Financial Health Using FinancialModelingPrep’s Ratios API

Tesla, one of the world’s most talked-about electric vehicle manufacturers, attracts a lot of attention from investors and market watchers. By examining a snapshot of Tesla’s financial ratios—such as those provided by FinancialModelingPrep’s Ratios API—we can get a clearer picture of the company’s f...

blog post title

Dec 22, 2024 7:59 AM - Sanzhi Kobzhan

Two great Software Platform Stocks Similar to Palantir (PLTR)

When it comes to cutting-edge software and data analytics, Palantir Technologies (NYSE: PLTR) is often front and center. But for many investors, it’s important to consider alternative or complementary stocks in the same sector that may offer robust growth potential. As PLTR looks expensive (overvalu...

blog post title