미국 주식 시장의 변동성과 투자 접근 방식
시장 흐름과 미국 국채 금리의 상관관계 최근 미국 국채 금리가 급등하면서 나스닥과 S&P500 지수가 눈에 띄게 흔들리는 모습을 보였습니다. 시장이 불안정할 때는 보통 채권 금리가 주가에 직접적인 타격을 주곤 하는데, 실제로 10년물 국채 금리가 오르면 기술주 위주의 나스닥 지수가 더 민감하게 반응하는 경향이 있습니다. 요즘 같은 시기에 코스피가 외국인의 대규모 차익 실현으로 힘을 쓰지 못하는…

시장 흐름과 미국 국채 금리의 상관관계 최근 미국 국채 금리가 급등하면서 나스닥과 S&P500 지수가 눈에 띄게 흔들리는 모습을 보였습니다. 시장이 불안정할 때는 보통 채권 금리가 주가에 직접적인 타격을 주곤 하는데, 실제로 10년물 국채 금리가 오르면 기술주 위주의 나스닥 지수가 더 민감하게 반응하는 경향이 있습니다. 요즘 같은 시기에 코스피가 외국인의 대규모 차익 실현으로 힘을 쓰지 못하는…
Managing exposure beyond domestic boundaries When building a global investment portfolio, it is common to start by looking at large-cap tech stocks or well-known indices. However, relying solely on broad market ETFs often ignores the specific bottlenecks that can impact performance. For instance, while AI infrastructure remains a strong theme, recent supply chain constraints show…
Understanding the dynamics of currency exchange rates When planning travel or considering cross-border investments, the fluctuation of currency exchange rates often dictates the final cost more than the price of goods or services themselves. For instance, when looking at the exchange rate for the New Taiwan Dollar (TWD) or managing shifts between the USD and…
Understanding the current state of pharmaceutical stocks Recent market data shows a strange phenomenon where the broader market reaches significant milestones, but pharmaceutical and biotech sectors often remain sidelined. When looking at market capitalization trends, we see shifts that aren’t always tied to pure performance. For instance, some companies show an increase in total market…
미국 주식 거래를 시작하는 기본적인 흐름 국내 주식에 익숙한 상태에서 미국 주식으로 눈을 돌리면 가장 먼저 마주하는 변화는 거래 시간입니다. 한국 시간으로 보통 밤 11시 30분부터 다음 날 새벽 6시까지 정규장이 열리는데, 처음에는 밤을 새우며 차트를 보는 것이 꽤 피로하게 느껴질 수 있습니다. 그래서 직장인들은 주로 프리마켓이나 애프터마켓을 활용하거나, 예약 매수 주문을 넣어두는 방식을 사용합니다….
Rethinking asset allocation beyond the local market When you look at the current market environment, relying solely on domestic investments often feels restrictive. Many investors are now turning to global portfolios to mitigate the risks associated with local currency fluctuations and regional economic cycles. The idea isn’t necessarily to abandon your domestic holdings, but to…
Watching the 10-year Treasury yield threshold When tracking US market movements, the 10-year Treasury yield often acts as an unspoken benchmark for many individual investors. Recently, the conversation has shifted toward the 5% mark. The general consensus among market analysts is that sustained yields above this level create a hostile environment for growth stocks. While…
Watching the dollar-won exchange rate during market instability When we look at the daily fluctuations in the stock market, whether it is the Dow Jones, Tesla stock prices, or the KOSDAQ, the exchange rate often moves in tandem, sometimes exacerbating the pressure on domestic investors. Recently, seeing the dollar-won exchange rate hover around the 1,500…
Why US index funds are a common starting point When looking at the structure of international portfolios, many investors end up focusing on US index funds because of their simplicity and the sheer scale of the underlying markets. Tracking a major index like the S&P 500 or Nasdaq 100 through an ETF is often suggested…
Shifting focus to global market trends When we look at recent market shifts, it is clear that big companies are aggressively reshuffling their portfolios. Companies like Alibaba are pivoting hard toward AI infrastructure to drive growth, while institutional giants like Berkshire Hathaway are significantly trimming stakes in established sectors like energy to adjust to a…
Getting started with ETF investing When you start looking into ETFs, the variety can be overwhelming. Whether you are tracking the Nasdaq 100 or looking into more niche assets like BITO, which tracks Bitcoin futures, the basic mechanism remains the same. You are buying a basket of assets rather than individual stocks. From my own…
Understanding the shift toward global asset allocation Many investors are finding that keeping a portfolio strictly within local markets carries more risk than it used to. With sectors like biotechnology and semiconductors showing volatility driven by global interest rates and shifting supply-demand patterns, relying on a single market index is becoming less effective. Recent data…