
Morgan Stanley: The current rise in US stocks has solid fundamentals

Morgan Stanley analyst Michael J. Wilson and his team pointed out that the U.S. stock market has rebounded since hitting a bottom in April, with stronger fundamental support. Earnings expectation revisions, a shift in Federal Reserve policy, and easing geopolitical risks are the three main driving factors. The S&P 500 index earnings revision has improved from -25% to -5%, indicating strong returns in the future. Market expectations for Federal Reserve interest rate cuts have increased, with a potential for 7 cuts, supporting stock market valuations. The overall economic fundamentals are resilient, the job market is stable, and capital expenditure growth is recovering
Due to copyright restrictions, please log in to view.
Thank you for supporting legitimate content.

