Are 'Negotiation Noises' in the War a Buying Opportunity? Should We Consider Buying Promising Earnings Stocks at Lows?
Although nuclear negotiations between the United States and Iran have broken down, some experts suggest that this should be interpreted as part of the process toward ending the war. While uncertainty during the negotiation process may lead to volatility in the stock market, some see this as an opportunity to increase investment positions. Given that both sides face significant burdens from a prolonged standoff, there is still a possibility for a negotiated settlement. The market is gradually shifting focus from the war itself to anticipating the 'post-war' environment.
The key variable has once again become 'earnings.' As earnings forecasts, particularly in the semiconductor sector, have been revised upward rapidly, valuation pressure in the stock market has actually eased. Export indicators also show a strong recovery, supporting an improvement in fundamentals. Accordingly, during periods of short-term volatility, it is considered effective to focus on sectors such as semiconductors, energy, finance (banks and securities), and IT hardware, where both earnings improvement and liquidity are converging.
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Samsung Electronics, SK hynix, Hyundai Motor, LIG Nex1, Samchundang Pharm
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