Kospi Recovers 7,500 Line Amidst Interest Rate Shock… Possibility of Rebound?
The Kospi experienced significant intraday volatility due to surging US interest rates, semiconductor sector adjustments, and Middle East geopolitical risks, but managed to recover most of its losses by the close, holding above the 7,500 level. The market saw sidecars triggered for two consecutive days, indicating high uncertainty and potential for continued volatility.
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