#NoticiasFinancieras The global financial market presents a diverse and mixed activity, with some exchanges experiencing slight increases and others corrections, influenced by volatility and the prospect of healthy corrections after previous rises, in addition to geopolitical tensions. The main indicators like the Dow Jones show gains, while others like the Nasdaq reflect minor variations, indicating a scenario of consolidation and healthy adjustments in the capital markets. General Situation

Volatility and Corrections: Markets are experiencing a correction period, which is considered healthy after the significant recent rises, thus preventing markets from rising indefinitely.

Geopolitical Factors: The geopolitical situation remains a latent factor that can influence market movements.

Main Indicators

North America:

Dow Jones: Shows a positive variation, indicating an upward trend in this index.

Nasdaq Composite: Presents a slight negative or stable variation, reflecting a more cautious trend in the technology sector.

Europe:

CAC 40 (France): Records a slight upward variation, maintaining positive momentum.

FTSE MIB (Italy): Shows an upward variation, consolidating its position.

IBEX 35 (Spain): Is in positive territory, demonstrating resilience.