The global stock markets faced renewed volatility on Thursday as declines in artificial intelligence-driven technology stocks dragged down major indices. The S&P 500 fell 0.5 per cent, while the Nasdaq composite dropped 1.5 per cent, reflecting broader concerns about the sustainability of rapid gains in the AI sector. The Dow Jones Industrial Average also declined by 0.2 per cent, marking a modest but notable downturn. In Australia, the ASX was poised for a slight decline, with futures indicating a potential drop of 14 points at the opening. The Australian dollar traded at 69.94 cents against the US dollar shortly after the market opened. The downward trend was driven primarily by a sharp correction in shares of leading AI-related firms. Nvidia, the largest publicly traded company by market value, saw its stock fall 2.4 per cent, contributing significantly to the overall decline in the S&P 500. Other prominent players such as Micron Technology and Western Digital also experienced substantial losses, with Micron declining 5.6 per cent and Western Digital falling 9.2 per cent. These declines followed weeks of heightened speculation about whether the explosive growth in AI stocks was justified by underlying fundamentals. Investors grew wary that the intense demand for computer memory and processors might not persist if AI fails to deliver the anticipated levels of profitability and efficiency. Despite these losses, the broader market showed resilience. Nearly three out of every four stocks in the S&P 500 posted gains, largely due to better-than-expected earnings reports from large corporations. Abbott, a healthcare giant, saw its shares rise 10.7 per cent after reporting stronger profits and raising its annual earnings outlook. Similarly, J.B. Hunt Transport Services gained 8 per cent following a positive earnings surprise. However, these gains did little to offset the drag caused by the heavy weighting of AI stocks in the index, particularly Nvidia's performance. The situation was compounded by geopolitical tensions and economic uncertainties. The ongoing conflict with Iran contributed to a spike in oil prices, with Brent crude reaching $84.23 per barrel, up slightly from the previous day. The war has raised fears of disruptions in the Strait of Hormuz, a critical shipping route for global oil supplies. Additionally, the Bank of Korea raised interest rates for the first time since 2023, adding pressure to financial markets. Higher borrowing costs have already pushed the 30-year mortgage rate to its highest level in nearly a year, signaling growing concerns about inflation and economic slowdown. In South Korea, the Kospi index suffered a steep decline of 6.4 per cent, partly due to the dominance of AI-focused companies like Samsung Electronics and SK Hynix. Over the past few weeks, the Korean market has fluctuated dramatically, with gains of 6.2 per cent on one day followed by drops of 8.9 per cent and 7.8 per cent. The volatility reflects the precarious balance between optimism about AI advancements and skepticism about long-term viability. Meanwhile, developments in China introduced new uncertainty. The announcement of a powerful new AI model by startup Moonshot, called Kimi K3, sparked fears of increased competition in the global AI landscape. This follows the earlier release of China’s DeepSeek model, which challenged Western giants like OpenAI and Microsoft. Such innovations could potentially reduce demand for specialized hardware used in AI applications, thereby affecting the fortunes of chip manufacturers and related industries. On Wall Street, the impact of these factors was evident. The S&P 500 ended the day down 38.63 points to 7,533.77, while the Nasdaq composite fell 387.28 points to 25,881.95. The Dow Jones Industrial Average also declined, ending at 52,552.97 after a 105-point drop. Notably, the stock of Taiwan Semiconductor Manufacturing Co., a key player in the semiconductor industry, saw contrasting results, its shares rose 1.2 per cent in Taiwan but fell 2.3 per cent in the U.S., highlighting the complex interplay between regional markets and global supply chains. Investors remain cautious as they navigate a landscape shaped by both technological innovation and macroeconomic headwinds. With the U.S. economy showing mixed signals, the bond market saw a slight increase in the 10-year Treasury yield, further tightening credit conditions. As the week progressed, additional reports on consumer spending and industrial production could provide further clarity on the direction of the market. For now, the focus remains on the delicate balance between AI-driven growth and the realities of economic stability.
4 izvještaja
The Sydney Morning HeraldNeovisanSredinaČinjenice 88Objektivnost 85prije 4 dana ASX će pasti, pad dionica AI pogađa Wall StreetGlobalna tržišta dionica su u četvrtak doživjela padove, potaknute padom tehnoloških dionica, posebno onih vezanih za sektor umjetne inteligencije. S&P 500 pao je za 0,5%, dok je Dow Jones pao za 0,2% a Nasdaq se urušio za 1,5%. U Australiji se očekuje da će ASX otvoriti niže, iako je u četvrtak zatvoren.
Procjena pristranosti (Sredina): U članku se iznosi uravnotežen pregled kretanja globalnog tržišta, bez da se otvoreno favorizira neka određena politička ideologija.
Zašto činjenice (88): This article continues the detailed reporting from the previous one, offering additional specifics on stock movements and company performances. It maintains alignment with the cross-source consensus regarding the impact of AI stock declines and the broader market trends, supporting its factual claim
Zašto objektivnost (85): The tone remains neutral throughout, focusing on factual reporting without introducing subjective commentary. The explanation of Nvidia's significance is presented objectively, without emotional weighting or biased interpretation.
The AgeNeovisanSredinaČinjenice 88Objektivnost 85prije 4 dana ASX će pasti, pad dionica AI pogađa Wall StreetGlobalna tržišta dionica su u četvrtak doživjela padove zbog pada tehnoloških dionica, posebno onih povezanih s sektorom umjetne inteligencije. S&P 500 pao je za 0,5%, dok su Dow Jones Industrial Average i Nasdaq Composite također zabilježili padove. Iako su mnoge tvrtke izvijestile o dobitima boljim od očekivanog, što je dovelo do dobitaka za neke dionice poput Abbott i J.B. Hunt Transport Services, velike tvrtke povezane s AI-om kao što su Nvidia, Micron Technology i Western Digital suočile su se s značajnim gubicima. Zabrinutost zbog pregrđenih procjena i neizvjesne buduće profitabilnosti tehnologija zasnovanih na AI-u pridonijela je padu tržišta. U Aziji, korejski indeks Kospi naglo je pao zbog pada dionica tvrtki usmjerenih na AI kao što su Samsung Electronics i SK Hynix, što je dodatno povezano nedavnim povećanjima kamatnih stopa Korejske banke.
Procjena pristranosti (Sredina): Članak pruža činjenični prikaz kretanja na globalnom burzi, fokusirajući se na ekonomske čimbenike kao što su dobit tvrtki, osjećaj investitora prema dionicama umjetne inteligencije i reakcije regionalnog tržišta.
Zašto činjenice (88): The article presents detailed financial data including the S&P 500 decline, specific stock performances like Abbott and J.B. Hunt Transport Services, and Nvidia's significant drop. It also explains the broader context of AI stock pressures and provides historical performance metrics for companies li
Zašto objektivnost (85): The writing remains largely neutral, reporting facts without overt bias. The mention of Nvidia's influence on the S&P 500 is factual and explanatory rather than emotionally charged. There is no clear editorializing or one-sided framing.
The AgeNeovisanSredinaČinjenice 85Objektivnost 80jučer ASX očima nesiguran početak, Wall Street pogođen AI padGlobalna tržišta dionica su doživjela značajan pad jer su investitori reagirali na zabrinutost zbog održivosti dobitaka povezanih s umjetnom inteligencijom i eskalacije napetosti na Bliskom istoku. S&P 500 pao je 1% tijekom prvog izgubljenog tjedna u tri mjeseca, a dionice čipova i druge tvrtke usmjerene na umjetnu inteligenciju vodile su pad. Nvidia je zabilježila pad od 2,2%, dok su primijenjeni materijali izgubili 5,6%. Cene nafte naglo su porasle zbog tekućih neprijateljstava između Irana i SAD-a, što je dodatno povećalo pritisak na tržištima dionica. U Aziji, glavni indeksi u Tajvanu, Japanu i Kini također su opali, a Taiwan Semiconductor Manufacturing Co. pao je 7,3%. U međuvremenu, tržište dionica Južne Koreje ostalo je zatvoreno za praznike, a vijesti o novom kineskom modelu umjetne inteligencije izazvale su strahovanja od smanjene potražnje za tehnološkim komponentama.
Procjena pristranosti (Sredina): Članak predstavlja uravnotežen pregled globalnih financijskih trendova, fokusirajući se na ekonomske čimbenike kao što su nestabilnost tržišta umjetne inteligencije i geopolitički razvoj.
Zašto činjenice (85): The article accurately reports on global stock market declines, particularly in AI-related stocks, and mentions the impact of rising oil prices due to the Iran conflict. It provides specific figures like the S&P 500 drop, Dow and Nasdaq performance, and details about Nvidia's decline. While it does
Zašto objektivnost (80): The tone remains neutral, presenting both the negative impacts of AI stock declines and the positive factors like oil price increases. However, there is a slight emphasis on the 'shaky trading' narrative, which could be seen as slightly more critical of AI stocks compared to a purely objective repor
The Sydney Morning HeraldNeovisanSredinaČinjenice 85Objektivnost 80jučer ASX očima nesiguran početak, Wall Street pogođen AI padGlobalna tržišta dionica doživjela su nestabilnost jer se sektor umjetne inteligencije suočio s padom, što je dovelo do pada glavnih indeksa kao što su S&P 500, Dow Jones Industrial Average i Nasdaq Composite. Zabrinutost zbog prekomjernog vrednovanja i održivosti potražnje za proizvodima povezanima s umjetnom inteligencijom doprinijela je rasprodaji, što je utjecalo na proizvođače čipova poput Nvidia i Applied Materials. U međuvremenu, napetosti na Bliskom istoku, uključujući američke zračne udare protiv Irana i iranske raketne napade, povećale su neizvjesnost, što je utjecalo na raspoloženje investitora. Cene nafte su porasle zbog geopolitičkih rizika, dodajući pritisak na financijska tržišta.
Procjena pristranosti (Sredina): Članak se fokusira na ekonomske čimbenike kao što su učinak tržišta dionica, dinamika industrije umjetne inteligencije i geopolitičke napetosti koje utječu na globalna tržišta.
Zašto činjenice (85): This article mirrors the content of the first one, providing similar information about the global stock market downturn and the reasons behind it. It includes the same numerical data and contextual elements such as the U.S.-Iran conflict and oil price movements, maintaining consistency with the cros
Zašto objektivnost (80): The objectivity score is similar to the first article. It maintains a neutral tone but uses phrases like 'shaky trading' which might subtly frame the situation as unstable, potentially influencing reader perception slightly.
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