๐ Thursday, 29 January 2026

๐ Article Description (Complete US Market Update)
๐ The US stock market experienced a volatile trading session on Thursday, 29 January 2026, as investors remained cautious amid mixed economic signals and global uncertainty. Major indices opened with marginal gains but failed to hold momentum, resulting in choppy, range-bound price action throughout the session.
๐ Market sentiment stayed fragile as traders avoided aggressive positions ahead of key economic data and ongoing concerns around interest rate direction. Buying interest was selective, while profit booking was visible in several heavyweight stocks.
๐ Global cues played an important role, with mixed performance across Asian and European markets influencing sentiment on Wall Street. Investors remained focused on macroeconomic stability, inflation trends, and future policy outlook.
๐ฆ Sector-wise, technology stocks traded with volatility, financial stocks saw mild pressure, while defensive sectors provided limited support. Energy and commodity-linked stocks moved cautiously amid fluctuating global prices.
๐ง From a trading perspective, short-term traders focused on intraday volatility and stock-specific opportunities, while positional traders remained on the sidelines awaiting clearer trend confirmation. Long-term investors continued to monitor opportunities in fundamentally strong stocks during market pullbacks.
๐ฎ In the near term, the US market is expected to remain sensitive to economic data releases, central bank commentary, and global market developments. Sustained directional movement will depend on clarity around inflation and interest rate expectations.