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April 13, 2026 by TraderNomad

Weekly Futures Market Overview — SPX, Nasdaq, DAX, Oil & Gold | Week of April 13, 2026

Weekly Futures Market Overview — SPX, Nasdaq, DAX, Oil & Gold | Week of April 13, 2026
April 13, 2026 by TraderNomad

📅 Week of April 13, 2026

Markets are entering the week of April 13, 2026 under significant pressure. US-Iran ceasefire negotiations collapsed over the weekend, with Vice President JD Vance departing Pakistan without an agreement — sending US stock futures sharply lower on Sunday evening and pushing Oil and the Dollar higher at the open.

Despite last week’s strong recovery across equities — the S&P 500 surged over 3% for its best week since November — the fragility of the geopolitical situation remains the dominant market driver heading into a pivotal week.

KEY EVENTS THIS WEEK
📌
Q1 Earnings Season — Goldman Sachs, JPMorgan, Citigroup, Wells Fargo, Morgan Stanley and Bank of America all report this week
📌
US PPI Data — Inflation print with direct implications for the Federal Reserve rate path
📌
Strait of Hormuz — Any escalation or resolution will immediately move Oil, Gold and all risk assets

Below is our full technical analysis and key levels for the week ahead across all five major futures markets:

📈 SPX Futures
📊 Nasdaq 100
🇩🇪 DAX
🛢️ WTI Oil
🥇 Gold XAU/USD

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Recent Posts

SPY ETF Analysis: Is the S&P 500 Rally at All-Time Highs Built to Last or Setting Up a Dangerous Reversal?May 10, 2026
DJIA Analysis: Why the Dow Jones Is Sending Dangerous Warning Signals After Its All-Time High in 2026May 3, 2026
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