Asian Markets Stay Rangebound as Geopolitical Risk…
From Financial Modeling Prep: 2025-06-16 13:25:00
Asian stock markets traded sideways on Monday due to Middle East tensions and central bank caution. Conflict between Iran and Israel dampened risk appetite, while upcoming rate decisions from major central banks stalled market momentum.
Chinese indexes remained flat as industrial production fell below expectations in May due to U.S. trade tariffs. However, retail sales growth exceeded forecasts, indicating strong domestic consumption despite deflationary pressures.
Investors await crucial monetary policy announcements from the Bank of Japan, U.S. Federal Reserve, Bank of England, Swiss National Bank, and PBoC. Global monetary dynamics are uncertain, prompting investors to monitor sectoral and index valuation trends across Asia.
Despite resilient Chinese consumption, Asian equity markets are stagnant amid geopolitical risks and unclear central bank guidance. A clearer trend may emerge post this week’s policy signals.
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