S&P 500 hits record high on strong US GDP data

The US S&P 500 index closed at a record high of 6,909 points, up 0.46%, driven by GDP data showing 4.3% annualized growth in the third quarter. This news reversed early losses in Wall Street and Europe, where the Ibex 35 rose 0.14% to 17,182.8 points. Optimism also boosted the Nasdaq, which gained 0.57% to 23,561 points, led by Nvidia.

The US stock market celebrated strong macroeconomic data with the S&P 500 reaching a new record on Tuesday, surpassing the 6,901 points set on December 11. The third-quarter GDP growth in the US exceeded analyst expectations, leading to a reversal of initial downward trends in the session.

In Europe, indices closed with moderate gains. The Stoxx 600 rose 0.2%, while the Ibex 35 increased 0.14%, ending at 17,182.8 points. Solaria stood out, gaining 2.5% due to its plan to invest 2.5 billion euros in technology from 2026 to 2028, according to XTB experts. In contrast, Ferrovial declined 1.52%, though it has accumulated 36% gains in 2025.

In Wall Street, Nvidia led the charge, rising 3% in the session and 40% year-to-date. The Nasdaq closed at 23,561 points. Michael Reynolds, investment director at Glenmede, told Bloomberg: “As attention shifts to the next year, the outlook for US economic growth looks promising. The combination of tariff policy, fiscal stimulus, labor market changes, AI-linked productivity, and potential deregulation points to above-trend growth in 2026”.

Other markets echoed this confidence: the 10-year Treasury yield settled at 4.167%, and the euro moderated its advance against the dollar to 1.175 units. In Europe, Novo Nordisk surged 9.2% after FDA approval for its weight-loss pill, despite a 50% annual decline due to competition in obesity and diabetes treatments.

With only four sessions left until year-end, investors eye 2026 with optimism.

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Jakarta Stock Exchange traders celebrate IHSG hitting record high of 8,602 amid bullish charts.
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IHSG hits record high at 8,602 driven by strong economic fundamentals

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The Composite Stock Price Index (IHSG) closed at a record high of 8,602.13 on Wednesday, November 26, 2025, up 0.94 percent. Thursday's opening showed a slight gain to 8,611, though limited correction potential looms. Positive sentiment stems from Indonesia's strong economic fundamentals and global market gains.

Wall Street's three major indices ended 2025 with substantial gains, marking three consecutive years of increases. The S&P 500 rose 16.39%, Nasdaq 20.36%, and Dow Jones 12.97%, driven by artificial intelligence despite turbulence from Donald Trump's tariff policies.

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Financial markets shrug off the US military intervention in Venezuela and the capture of Nicolás Maduro, as the Ibex 35 surpasses 17,600 points. European and US stock indices rise moderately, while oil prices climb 1%. Investors choose caution amid geopolitical risks.

The Composite Stock Price Index (IHSG) opened stronger by 43.94 points or 0.52 percent at 8,458.29 on Monday morning. Market players are watching the direction of The Fed's interest rate policy amid limited domestic data. This week is influenced by global data from the US, China, and Europe.

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米国経済は2025年第3四半期に4.3%の強固な年率で拡大し、予想を上回り、前四半期の3.8%成長から加速した。政府閉鎖により遅れたデータは、インフレと雇用安定への懸念が高まる中でも、消費者支出の強さを示している。トランプ大統領は、この急増を関税と税政策によるものと主張した。

South Korean stocks closed at a fresh record high above 4,800 points, extending their rally to an 11th consecutive session amid buying in semiconductor shares. The benchmark KOSPI rose 0.9 percent to 4,840.74. The local currency fell 3.9 won to 1,473.6 against the U.S. dollar.

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Asian-Pacific stock markets surged at the opening of trading on Monday, December 22, 2025, as investors awaited China's interest rate decision. In Indonesia, the IHSG opened up 0.23 percent at 8,629, though it is predicted to potentially correct amid the rupiah's weakening. The World Bank's warning on Indonesia's fiscal deficit also influenced market sentiment.

 

 

 

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