Amidst a backdrop of geopolitical easing, investors are reassessing their risk strategies to navigate a more tranquil global landscape.
This shift coincides with markets recalibrating expectations around potential rate cuts, resulting in a downturn in stocks.
In the tech sector, all eyes are on US earnings reports this week, particularly those of industry giants whose performance often sets the tone for market sentiment.
Additionally, anticipation mounts ahead of the release of Australian CPI data, scheduled for Wednesday, which promises insights into economic health and potential monetary policy implications.
These developments underscore the need for investors to remain vigilant and adaptable in response to evolving geopolitical and economic dynamics.