
The previous week on the US stock market became a trial for investors due to the lack of progress on the part of the country's lawmakers as regards the expansion of fiscal incentives, given the record-high pandemic indicators in Europe and the US. The pre-election month is historically characterized by expanded amplitude of fluctuations. Investors are forced to maneuver among contradictory factors: slower stagnation on the US labor market after the first wave of the pandemic and the growing risk of new restrictive measures spurred by the second outbreak of the coronavirus infection. In addition, there is ongoing uncertainty regarding the outcomes of the US presidential election scheduled for 03 November
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