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Nasdaq Extends Rally to 11 Days, Hits Fresh Record High on Extended Ceasefire Expectations

Magic Compass | 2026-04-16 09:47

Abstract:Market OverviewMarket sentiment was primarily driven by expectations of an extended ceasefire between the U.S. and Iran, alongside strong bank earnings. Reports suggesting a potential prolongation of

Market Overview

Market sentiment was primarily driven by expectations of an extended ceasefire between the U.S. and Iran, alongside strong bank earnings. Reports suggesting a potential prolongation of the ceasefire significantly eased geopolitical concerns, pushing both the S&P 500 and Nasdaq Composite to new all-time highs, with the Nasdaq marking an impressive 11-day winning streak.

Although the Dow Jones Industrial Average ended its two-day advance, NVIDIA also recorded its longest 11-day rally. The financial sector outperformed, with Morgan Stanley and Bank of America posting solid gains following robust Q1 earnings. Meanwhile, large-cap software names such as Microsoft and Salesforce provided strong support to the broader market, offsetting weakness in memory chip stocks.

Sector BreakdownTechnology & Semiconductors Diverge

Despite the semiconductor index extending its record-setting streak to six consecutive sessions, internal divergence has emerged. SanDisk declined sharply by 5.6%, while Broadcom surged over 4% on expanded chip collaboration with Meta.

ASML fell more than 4% despite raising guidance, reflecting concerns that Middle East tensions could weigh on high-end consumer demand. Luxury giants such as Kering and Hermès also posted steep losses.

Precious Metals & Cryptocurrencies

As safe-haven demand continued to fade, precious metals retreated from elevated levels. Spot gold dropped over 1% intraday, while gold futures pulled back from near four-week highs. Silver followed a similar pattern, reversing earlier gains.

In contrast, cryptocurrencies outperformed. Bitcoin briefly surged above the $75,000 mark, signaling a swift return of risk appetite and capital inflows into digital assets.

Energy & Industrial Metals

Oil markets experienced heightened volatility. U.S. crude prices plunged nearly 5% intraday to a three-week low before rebounding sharply, ultimately closing up 2% on short covering.

In industrial metals, LME aluminum posted strong gains, rising over 1% to a four-year high, while copper retreated modestly from its two-month peak.

Fixed Income & FX

U.S. Treasury yields reversed their two-day decline, with bond prices moving lower. The U.S. Dollar Index extended its weakness, marking an eight-day losing streak and approaching a one-month low.

The offshore Chinese yuan weakened past the 6.82 level, snapping its previous eight-session rally, suggesting a technical correction following sustained appreciation.

Key HighlightsMorgan Stanley Q1 Revenue and Profit Hit Record Highs

Morgan Stanley reported Q1 net revenue of $20.6 billion, up 16% year-over-year from $17.7 billion. Net income reached $5.6 billion, rising 29% YoY, while diluted EPS climbed 32% to $3.43 from $2.60.

Equity trading revenue surged to $5.15 billion, up 25% YoY, driven by heightened market volatility and increased client activity, setting a new record.

Federal Reserve Beige Book (April)

Across the Feds 12 districts, economic activity showed mixed trends:

  • 8 districts reported slight to moderate growth

  • 2 remained relatively unchanged

  • 2 experienced slight to moderate contraction

Ongoing Middle East tensions remain a key source of uncertainty, complicating hiring, pricing, and capital investment decisions. Many firms have adopted a wait-and-see approach.

Key Data to Watch (GMT+8)

  • 20:30 (ET) – Initial Jobless Claims (week ending April 11), Philadelphia Fed Manufacturing Index (April)

  • 21:15 (ET) – Industrial Production MoM (March)

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