Why Is the Dow Jones On A Historic Losing Streak?

What’s New

The Dow Jones Industrial Average reported its longest losing streak in 50 years this week, after tumbling 1,123 points or 2.6 percent on Wednesday—a record in itself, as it was the biggest point drop since September 2022, Forbes reported. Wednesday also marked the steepest percentage drop since August 5 for both Dow Jones and S&P.

Overall, Dow Jones is down by a total of 2,700 points compared to December 5, when its down streak started. Wednesday marked the tenth straight losing session for the index—the longest streak since 1974, when it fell for eleven days in a row.

Why Is The Stock Market Down

The disastrous plunge followed the Federal Reserve’s decision to cut interest rates by 25 basis points this week, as was widely expected by investors, and its suggestion that there will be only two more 25 basis-point cuts next year, instead of the four previously projected. That’s because the central bank now expects inflation to remain above the level they previously predicted for longer.

New York Stock Exchange trader watches screens. The Dow Jones Industrial Average reported its longest losing streak in 50 years this week, after tumbling 1,123 points or 2.6 percent on Wednesday.

Michael M. Santiago/Getty Images

The interest rate cut announced on Wednesday was the third consecutive one implemented by the central bank this year after inflation finally stabilized in the U.S. Fewer cuts next year likely means that Americans should expect rates to remain above the 3 percent mark throughout 2025—a prospect that most investors were not prepared for.

A more moderate approach to normalizing interest rates by the Fed likely means smaller profit margins for corporations in the U.S., as the cost of borrowing will remain higher than previously expected. This new prospect, in turn, has triggered the investors’ stocks sell-off.

Newsweek contacted JPMorgan, S&P, Bank of America, and Moody’s Analytics for comment by email on Thursday morning.

How Does The Dow Jones Reflect The U.S. Economy?

The Dow Jones’ slump reflects widespread uncertainty about the future of the U.S. economy as the country prepares for a second Donald Trump administration and inflation is rising again as a result of growing groceries, hotels and used cars.

In November, consumer prices rose 2.7 percent compared to a year earlier, up from 2.6 percent in October. Commenting on inflation in early December, the Fed’s chair Jerome Powell said: “We’re not quite there on inflation, but we’re making progress. We can afford to be a little more cautious.” The central bank has previously expressed its belief that inflation is continuing to cool down to its target level, but the way there might be a bumpy one.

One thing that could significantly affect inflation in the near future is Trump’s plan to impose tariffs on goods coming into the U.S.—a move that, if implemented, could increase prices. This uncertainty is reflected in the markets as well.

After Trump’s victory in November, the markets—including the Dow Jones—temporarily surged, reaching record levels as investors felt optimistic about the Republican candidate’s promises of corporate tax cuts, deregulation and tariffs.

But despite the markets’ initial enthusiasm, there’s no certainty over what policies Trump will manage to put into action, and how these will affect the U.S. economy—especially when it comes to tariffs Trump wants to impose on goods coming from countries such as Canada, China, and Mexico.

“A few weeks postelection, the stock market took a bit of a downturn as the frenzy and excitement of the election concluded,” George Kailas, CEO at Prospero.ai, told Newsweek in a written statement.

“Two weeks after the election, the Dow Jones Industrial Average fell 0.7 percent, followed by the S&P 500 and NASDAQ, each slipping 1.32 percent and 2.24 percent respectively. This reflects an understandable disconnect between initial excitement and policy,” he added.

“The prior Trump administration was highly friendly to the stock market and it is more than fair to expect that again as he has called that out as an important benchmark. We do think there are some expected winners that are too obvious to ignore, like Coinbase and Tesla.”

When Could The Index See A Turnaround?

Experts think it’s unlikely that the Dow Jones downturn will last much longer. “The good news is any near-term selling could be fairly brief,” MarketWatch columnist Michael Brush wrote for the Dow Jones Newswires.

“Over the past 25 years, the longest stretch of January selling following a strong market year lasted four weeks. More importantly, it’s unlikely this will become a bear market, a 20 percent or more decline,” he added. “That’s because the economy is not likely to go into a recession soon.”

Despite some setbacks this year, the U.S. economy still grew at a 2.8 percent pace between July and September, showing it remained strong in the face of higher rates. But Wall Street is now generally expecting growth to be a little more modest than they previously thought next year.

“Heading into 2025, the focus is squarely on postelection policy shifts in the U.S. and their broader economic implications,” Ken Wattret, Global Economist, S&P Global Market Intelligence, said in a press release.

“With renewed inflationary pressures expected to pause the Fed’s easing cycle, global financial conditions are going to be much less accommodative than previously expected. This spells trouble for economic growth; we are lowering our forecasts pretty much across the board.”

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繼去年5月於阿布扎比舉行首次雙邊會議後,金管局與阿聯酋央行一直就多個重要範疇進行深入討論,主要涉及跨境債務資本市場互聯互通、金融基建發展,以及中東與北非地區和中國內地的投資前景與機遇。 余偉文表示,討論加強兩間央行在多個重要範疇的金融合作。諒解備忘錄將進一步加強金管局與阿聯酋央行就債務資本市場的合作及專業知識的交流,並鞏固香港作為人民幣與國際債務市場門戶的策略角色。 H.E. Khaled Mohamed Balama表示,確立債務資本市場發展與合作的方向,期待兩地債務資本市場發揮潛力,務求跨境債務證券發行、買賣、投資、交收及抵押品管理更無縫及具成本效益。此舉將有助阿聯酋扮演門戶角色,讓中東與北非地區的發行人和投資者能方便快捷地參與中國及亞洲債務市場,同時讓中國及亞洲發行人與投資者能透過阿聯酋直接參與中東與北非地區的債務市場。   其他報道 金管局與阿聯酋央行簽諒解備忘錄 債務資本互聯互通 意大利查長和出售資產交易稅務問題 金管局委任周文正為助理總裁 (金融基建) 港上月通脹1.4% 低過預期 恒指收市跌31點 科指升0.1% 成交一周最多 北水流入減 港股全周轉跌 財庫局:港股交投轉趨活躍 政策方向是不斷「做大個餅」 本月全國汽車置換更新超過310萬輛 商務部研究明年以舊換新政策 傳裁員300人 仁孚集團:報道失實 本月進行架構調整 少於20人受影響 內地加強首席經濟學家自律管理 不當言行可被解僱 騰訊公布與榮耀簽戰略合作協議 攜手發展AI和雲領域 愛高集團股價午後突急瀉86% 滬深三大指數午後向下 滬指連跌兩個交易日 一周累跌0.7% 傳平治代理商仁孚行裁員300人 海辰儲能據報擬明年在港IPO 集資逾5億美元 內地1年期國債息跌破1% 市場料人行或加大貨幣寬鬆 【有片:埋身擊】加密貨幣回落  料後市整固後才能進一步向上 半日沽空金額增24% 騰訊沽空增3倍 恒指半日升32點 科指0.69% 小菜園半日升4.4% 逆市開店︱壽司郎啟德零售館2店料於明年春季開幕 麥格理:料明年內地GDP增4.7% 4%財赤目標是重大轉變 滬深三大指數半日向上 滬指以近半高位收市 港元拆息個別發展 1個月HIBOR創兩個月高 貨幣總結餘升至兩周高

Debut Hong Kong Fashion Fest wraps up in style

Reinforcing Hong Kong’s vital role in the global fashion scene HONG KONG, Dec. 20, 2024 /PRNewswire/ — The inaugural “Hong Kong Fashion Fest” concluded on 4 December 2024 with resounding success, attracting about 160 000 attendees from 25 countries or regions, and over 4.6 million views of videos on social media during its vibrant celebration.

Asian shares hit three-month low ahead of US inflation data By Reuters

By Stella Qiu SYDNEY (Reuters) -Asian shares hit a fresh three-month low on Friday as investors awaited key U.S. inflation data that could either ease or worsen concerns about stubbornly high price pressures, while the dollar towered at two-year peaks. European markets are set for a lower open, with EUROSTOXX 50 futures down a sizeable

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