Daily Note 30/09/2022 – Market View: Day Ahead, Macro, Stocks, Debt Markets


  • A weak session for risk assets yesterday with Europe, the UK and US markets all finishing in the red.
  • While Nike reported Q123 numbers marginally behind market expectations, it was the pull back in its outlook for the full year that saw the stock trade down 9% in after-hours trading. (Comment attached)
  • Core bond yields moved higher yesterday.