Daniel Marsh

Daniel Marsh

Senior Markets Analyst

Daniel Marsh is a senior markets analyst at StockTi with over 12 years of experience covering U.S. and global equity markets. He holds a CFA charter and previously worked as an equity research associate at a major Wall Street firm. Daniel specializes in macroeconomic analysis, market trends, and cross-sector investment themes. His work focuses on translating complex market data into actionable insights for individual and institutional investors.

Markets, Economy, Analysis 4,511 articles

Articles by Daniel Marsh

Shenzhen Market Plunges as Growth Stocks Retreat Despite Positive Factory Data
Markets

Shenzhen Market Plunges as Growth Stocks Retreat Despite Positive Factory Data

Shenzhen stocks declined sharply on Tuesday, with the ChiNext board dropping 2.7%, as investor concerns over energy prices and supply chain risks overshadowed positive manufacturing data.

FXI MCHI
Hong Kong Stocks Post Modest Gain Amid Mixed March Performance
Markets

Hong Kong Stocks Post Modest Gain Amid Mixed March Performance

Hong Kong's Hang Seng Index closed slightly higher on Tuesday, gaining 0.15% to 24,788.14, but recorded a 6.9% decline for March, marking its poorest monthly performance since January 2024.

HSBC BABA FXI MCHI
Historical Data Signals Calm Amid 2026 Market Turbulence
Markets

Historical Data Signals Calm Amid 2026 Market Turbulence

Despite a 7% S&P 500 drop in early 2026, historical indicators including the January barometer and market resilience after geopolitical shocks suggest long-term investors should stay the course.

SPY GOAI GLD USO XLE XLK XLF FXI
SCHD ETF Boosts Healthcare in Rebalance as Dividend Fund Inflows Surge
Markets

SCHD ETF Boosts Healthcare in Rebalance as Dividend Fund Inflows Surge

The Schwab U.S. Dividend Equity ETF (SCHD) increased its healthcare allocation to 18.5% during its yearly portfolio update, adding Abbott Laboratories and UnitedHealth Group. The fund gathered nearly $4 billion in the first quarter as investors poured a total of $24.1 billion into U.S. dividend-focused funds, marking the strongest quarterly start since 2022.

SCHD ABT UNH VOO XLE XLV CVX COP MRK KO TXN AMGN PEP
GE Vernova Shares Slip Despite Strong Gas Demand and $40B Nuclear Deal
Markets

GE Vernova Shares Slip Despite Strong Gas Demand and $40B Nuclear Deal

GE Vernova shares declined 4% Monday, even as the company highlighted a significant jump in gas turbine orders and a potential $40 billion small modular reactor deal stemming from a U.S.-Japan energy pact.

GE
Mortgage Rates Edge Lower Amid Market Volatility, Affordability Concerns Persist
Economy

Mortgage Rates Edge Lower Amid Market Volatility, Affordability Concerns Persist

The average 30-year fixed mortgage rate eased to 6.55% on March 30, offering minor relief. However, broader measures show rates remain elevated, with purchase applications down 5.4% and refinancing demand plunging 14.6%.

XLF USO
Markets Mixed as Geopolitical Tensions, Fed Stance Weigh on Sentiment
Markets

Markets Mixed as Geopolitical Tensions, Fed Stance Weigh on Sentiment

U.S. equities showed a split performance on Monday, with the Dow Jones Industrial Average advancing 0.69% while the Nasdaq Composite slipped 0.13%. Investor sentiment remained fragile amid geopolitical risks and evolving Federal Reserve commentary.

AAPL XOM CVX MS GLD USO XLK XLE
Dow Surges on Diplomatic Hopes, Energy and Financials Lead Rebound
Markets

Dow Surges on Diplomatic Hopes, Energy and Financials Lead Rebound

The Dow Jones Industrial Average rallied over 300 points Monday, recovering some of last week's steep losses, after President Trump said the U.S. was in talks to end the Iran conflict. Energy and financial stocks led the advance.

XLE XLF XLK XOM CVX BX KKR APO AAPL AVGO JPM MS
S&P 500 Stabilizes After Five-Week Slide, Nears Correction Threshold
Markets

S&P 500 Stabilizes After Five-Week Slide, Nears Correction Threshold

U.S. equities attempted a modest recovery Monday following a five-week decline that has pushed the S&P 500 close to correction territory. The market remains under pressure from soaring crude prices and revised expectations for Federal Reserve policy.

SPY USO MS
Uber's Blacklane Acquisition Fuels $100 Share Price Debate Amid Analyst Divergence
Analysis

Uber's Blacklane Acquisition Fuels $100 Share Price Debate Amid Analyst Divergence

Uber Technologies advanced 1.4% to $70.15 after announcing its acquisition of chauffeur service Blacklane, while Wells Fargo trimmed its price target to $95. The company reported $52 billion in 2025 revenue and 202 million monthly active users.

UBER LYFT RIVN FXI
Elevated VIX Sparks Market Debate Amid Geopolitical Tensions
Markets

Elevated VIX Sparks Market Debate Amid Geopolitical Tensions

The Cboe Volatility Index remains elevated near 31 despite a Monday rally, as investors weigh Morgan Stanley's shift to cash and Treasuries against a backdrop of rising oil prices and geopolitical uncertainty.

USO XLE MS
India's Banking System Braces for Year-End Holiday Disruptions
Economy

India's Banking System Braces for Year-End Holiday Disruptions

A series of bank holidays in India, coinciding with the financial year-end, is set to impact branch-based transactions like salary processing and cheque clearing from March 28 to April 3. Digital services will continue uninterrupted.

HDB IBN