🌍 Global Markets Weekly Review
Period: April 14–18, 2025
Date of Report: April 20, 2025
Source Data Timestamp: April 17–18, 2025
🇺🇸 United States Markets
📈 S&P 500
- Level: 5,282.70
- Change: +0.52%
- Trend: Modest gains. The market showed resilience, supported by strength in financials and select consumer discretionary sectors. Investor sentiment remains cautiously optimistic ahead of the next Fed meeting.
📉 Nasdaq 100
- Level: 18,258.09
- Change: -0.28%
- Trend: Slight decline driven by a pullback in major tech and AI stocks, with some investors locking in profits after strong Q1 gains.
📉 Dow Jones Industrial Average
- Level: 39,142.23
- Change: -0.89%
- Trend: Noticeable weekly drop, affected by weakness in industrials and energy. Fears of slowing economic growth and mixed earnings weighed on investor confidence.
📈 Russell 2000
- Level: 1,880.62
- Change: +2.90%
- Trend: Strong rally in small-cap stocks, signaling a shift toward risk appetite and potential expectations of looser monetary policy ahead.
🇪🇺 European Markets
📈 Euro Stoxx 50
- Level: 4,935.34
- Change: +1.94%
- Trend: Solid performance driven by optimism over falling inflation in key Eurozone countries and positive corporate earnings.
📈 STOXX Europe 600
- Level: 506.42
- Change: +3.69%
- Trend: Impressive gains across sectors, especially in energy, banking, and consumer goods. Investors are pricing in a potential ECB rate cut in the coming months.
📈 FTSE 100 (UK)
- Level: 8,275.66
- Change: +4.58%
- Trend: One of the strongest performers this week. The rally was fueled by a strong British pound, robust employment figures, and gains in multinational firms benefiting from global exposure.
🇨🇭 Switzerland
📈 Swiss Market Index (SMI)
- Level: 11,660.96
- Change: +3.14%
- Trend: Positive momentum across healthcare and financial stocks. Lower inflation data boosted expectations for accommodative policy from the Swiss National Bank.
🌏 Asian Markets
📈 Nikkei 225 (Japan)
- Level: 34,730.28
- Change: +2.13%
- Trend: Gains supported by strong export data and a weaker yen, which benefits Japanese exporters. Tech and auto sectors led the way.
📈 Hang Seng Index (Hong Kong)
- Level: 21,395.14
- Change: +4.07%
- Trend: Strong rebound driven by expectations of stimulus in mainland China and easing tech-sector regulations. Positive investor sentiment returned after a prolonged slump.
📈 KOSPI (South Korea)
- Level: 2,483.42
- Change: +1.19%
- Trend: Moderate gains led by chipmakers and tech exporters, riding global demand for semiconductors and AI-related hardware.
🧠 Key Takeaways
- Overall sentiment improved globally, especially in Europe and Asia.
- US markets showed mixed results, with large-cap indices under pressure while small-caps outperformed.
- Europe surged on hopes of looser monetary policy and better-than-expected economic indicators.
- Asia rebounded, driven by local stimuli, export strength, and renewed investor confidence.
- Switzerland held strong, with defensives and financials benefitting from macroeconomic stability.
Comparison, examination, and analysis between investment houses
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* This article, in whole or in part, does not contain any promise of investment returns, nor does it constitute professional advice to make investments in any particular field.

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