경제들(Economies)/뉴스들(News)

🇺🇸📉 May 30, 2025 – U.S. Stocks End Mixed Amid Weak Data and Tariff Uncertainty 📉

월드경제재테크 2025. 5. 31. 09:16
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Hello, investors!
On Friday, May 30, the U.S. stock market closed with mixed results as disappointing economic indicators and uncertainties surrounding trade tariffs dampened sentiment.

  • NASDAQ: 19,113.77 (▼ 0.32%)
  • S&P 500: 5,911.69 (▼ 0.01%)
  • Dow Jones: 42,270.07 (▲ 0.12%)
  • USD/KRW: ₩1,383.80 (▲ 0.86%)

🔍 Key Market Highlights

1. 📉 Rise in Jobless Claims

The number of Americans filing new claims for unemployment benefits rose by 14,000 to 240,000, exceeding the estimate of 229,000. This increase suggests a softening labor market.
Source: Reuters

2. 📉 U.S. Q1 GDP Shrinks

The U.S. economy contracted by 0.2% (annualized) in Q1, mainly due to rising imports and weakening consumer spending, missing previous projections.
Source: BEA

3. ⚖️ Tariff Policy Uncertainty

A federal appeals court temporarily reinstated certain Trump-era tariffs, stirring uncertainty in trade and supply chain strategies. This weighs on exporters and importers alike.
Source: Saxo

4. 📊 Record Month for Stocks

Despite the daily decline, May 2025 marked a strong month. The S&P 500 surged 6.2%, its best May performance since 1990, driven by gains in tech stocks and hopes of rate cuts.
Source: WSJ

5. 🏦 Fed Rate Path Clouded by Tariff Risks

Despite weak data, the Federal Reserve is expected to delay any rate cuts until September, as trade policy uncertainty now complicates monetary decisions.
Source: Financial Express


📅 Upcoming Events to Watch

  • June 5 – Weekly jobless claims report
  • Mid-June – Federal Open Market Committee (FOMC) meeting
  • Late June – Start of Q2 corporate earnings season

🔮 Outlook & Investment Strategy

  • Watch labor market trends: The rising number of jobless claims indicates potential stress in the job market. Caution is advised.
  • Stay alert on tariff developments: Trade policy shifts could impact key sectors. Diversification and risk management are crucial.
  • Monitor Fed messaging: The likelihood of rate cuts is now more uncertain. Adapt your portfolio accordingly.
  • Focus on tech strength: The tech sector continues to lead gains. Selective exposure to this area may yield good returns.

📝 Final Thoughts

The U.S. market wrapped up the week with mixed signals. While weak data and policy risks raise short-term concerns, the strong monthly gains reflect resilience and investor confidence in select sectors. Staying informed and disciplined is key in navigating this complex environment.

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