Bhai, aaj market mein kuch heavy news hai. Pehla—30-year Treasury yield 5.27% cross kar gaya. El-Erian bol raha hai yeh structural shift hai, America ab expensive ho gaya. Matlab har cheez mehngi hogi, loans se lekar mortgage tak. Aur Dow futures thoda recover kar rahe hain, lekin Nvidia ka number aana baaki hai. Woh aayega toh pata chalega direction. Saath mein Trump ne Canada pe naye tariffs laga diye hain—phir se trade war ka drama. Ab sun, Scott Bessent (Treasury Secretary) ka debt buyback scheme chal raha hai. Fortune bol raha hai yeh 'playing with fire' hai—dollar devaluation ka spiral ban sakta hai. Seedha matlab, dollar ki value gir sakti hai agar yeh scheme ulta pade. Aur haan, US debt $40 trillion cross ho gaya. Washington ka bill ab due hai. Matlab, government pe itna karz hai ki interest hi bhaari pad raha hai. Yehi wajah hai yields itne upar. Coca-Cola side mein apne secretive innovation labs mein dirty soda aur refreshers automate karne ki koshish kar raha hai. Tech ka jadoo, par market ke liye koi badi baat nahi. Bhai, mera seedha sa khyal—yield itna upar matlab equity ke liye pressure. Aur dollar ki kahani alag se scary hai. Tumhe lagta hai yeh 30-year yield aur debt spiral ka combo market ko thanda karega?

⚠️ Personal analysis, financial advice nahi.

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Disclaimer: My personal analysis, not financial advice. DYOR.