DJI45,577.47-0.96%
GDAXI21,930.91-2.01%
GSPC6,506.48-1.51%
HSI24,382.47-3.54%
IXIC21,647.61-2.01%
N22551,515.49-3.48%
AAPL247.99-0.39%
AMZN205.37-1.63%
CL99.05+0.83%
EURUSD1.1494-0.70%
GBPUSD1.3263-0.61%
GC4,268.60-6.70%
GOOG298.79-2.27%
JPM286.56-0.49%
META593.66-2.15%
MSFT381.85-1.85%
NVDA172.93-3.03%
TSLA367.96-3.24%
DJI45,577.47-0.96%
GDAXI21,930.91-2.01%
GSPC6,506.48-1.51%
HSI24,382.47-3.54%
IXIC21,647.61-2.01%
N22551,515.49-3.48%
AAPL247.99-0.39%
AMZN205.37-1.63%
CL99.05+0.83%
EURUSD1.1494-0.70%
GBPUSD1.3263-0.61%
GC4,268.60-6.70%
GOOG298.79-2.27%
JPM286.56-0.49%
META593.66-2.15%
MSFT381.85-1.85%
NVDA172.93-3.03%
TSLA367.96-3.24%
DJI45,577.47-0.96%
GDAXI21,930.91-2.01%
GSPC6,506.48-1.51%
HSI24,382.47-3.54%
IXIC21,647.61-2.01%
N22551,515.49-3.48%
AAPL247.99-0.39%
AMZN205.37-1.63%
CL99.05+0.83%
EURUSD1.1494-0.70%
GBPUSD1.3263-0.61%
GC4,268.60-6.70%
GOOG298.79-2.27%
JPM286.56-0.49%
META593.66-2.15%
MSFT381.85-1.85%
NVDA172.93-3.03%
TSLA367.96-3.24%
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Borsa di Tokyo in calo: Nikkei chiude a -3,48%

La Borsa di Tokyo chiude in netto ribasso a causa delle tensioni internazionali legate al conflitto in Medio Oriente. L’indice Nikkei registra una significativa diminuzione, mentre il Topix segue una tendenza simile. Le preoccupazioni per l’aumento dei prezzi del petrolio e il rallentamento degli approvvigionamenti influenzano negativamente i mercati azionari.

Mar 23, 2026 &03572323202631; 08:57 UTC www.finanzaonline.com Trending 3/5
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Negative for markets
Sentiment score: -65/100
High impact Immediate effect (hours)
WHAT THIS MEANS
Tokyo Stock Exchange declined sharply with Nikkei falling 3.48% due to Middle East geopolitical tensions and concerns over rising oil prices and supply chain disruptions. This risk-off sentiment typically spreads to other global markets, particularly affecting energy-dependent economies and export-oriented sectors.
AI CONFIDENCE
65% High
SENTIMENT GAUGE
NEWS POWER SCORE
AFFECTED ASSETS
Euro Stoxx 50
^STOXX50EIndex
Expected to decline
European equities likely to follow Asian weakness; geopolitical risk-off sentiment spreads globally
DAX (Germany)
^GDAXIIndex
Expected to decline
German DAX exposed to energy price shocks and export slowdown concerns
FTSE MIB (Italy)
FTSEMIB.MIIndex
Expected to decline
Italian index vulnerable to energy cost inflation and risk-off sentiment
Oil (WTI Crude)
CL=FCommodity
Expected to rise
Crude oil prices rising due to Middle East supply concerns and geopolitical premium
Euro / US Dollar
EURUSDCurrency
High volatility expected
Safe-haven flows may support USD; EUR weakness from risk-off and energy concerns
Gold Futures
GC=FCommodity
Expected to rise
Gold benefits from geopolitical risk-off and safe-haven demand
PRICE HISTORY
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SUGGESTED ACTION
Il Nikkei -3.48% trasmette un chiaro segnale risk-off intercontinentale, amplificato da tensioni mediorientali e timori su petrolio >$90/barile che colpiscono direttamente l'Europa (importatrice netta di energia). Lo STOXX50E è già in correzione strutturale dal picco di 6173.32 (feb 2026), con un drawdown attuale dell'~10.9% e momentum negativo nei dati recenti: 6173→5987→5771→5501, sequenza inequivocabilmente distributiva. La volatilità mensile di 1.25% è storicamente bassa rispetto ai movimenti recenti, segnalando espansione della volatilità in corso. Il livello 5500 è supporto psicologico critico, la sua rottura aprirebbe spazio verso 5200-5300. ⚡ DEEP SONNET: Short/hedge su rimbalzo a 5600-5650 oppure su rottura confermata di 5490 con close sotto; evitare inseguire il gap di apertura | TP:6% SL:4% | 3-10 giorni trading, con rivalutazione settimanale | Risk:HIGH — La correlazione Nikkei→STOXX50E in apertura è storicamente >0.70 durante episodi geopolitici. Rischio oil-shock: ogni +10% sul Brent riduce il PIL europeo stimato di ~0.3-0.5 punti. Assenza di dati storici sulle previsioni dell'asset aumenta l'incertezza. Possibile spike di volatilità intraday. Rischio controtrend: de-escalation geopolitica rapida potrebbe generare rimbalzo violento verso 5700. | Sizing:STANDARD
KEY SIGNALS
Geopolitical risk premium embedded in marketsOil price spike threatens margin compression for non-energy sectorsRisk-off sentiment favors defensive assets and safe havensSupply chain disruption concerns resurfacePotential contagion to European and US markets at open
SECTORS INVOLVED
EnergyFinancialsIndustrialsConsumer DiscretionaryTechnology
Analysis generated on Mar 23, 2026 at 09:03 UTC
Disclaimer: This analysis is generated by artificial intelligence for informational purposes only and does not constitute financial advice, investment recommendation, or solicitation. Original reporting by Finanza Online. Always conduct your own research and consult a qualified financial advisor before making investment decisions.