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Global Stock Markets Surge as Corporate Earnings Exceed Expectations

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World stock markets are experiencing a significant upswing, with the MSCI All Country World Index rising by 13.2% in 2025. This surge is largely attributed to corporate earnings that have consistently surpassed analyst expectations. Approximately 80% of companies listed on the S&P 500 have reported earnings above estimates, reflecting a robust economic environment that has bolstered investor confidence.

Investor optimism is further fueled by speculation regarding potential interest rate cuts from the Federal Reserve. This prospect has encouraged a favorable outlook among market participants, leading to record highs in global shares. In recent days, world shares have reached new peaks, defying earlier forecasts that anticipated a market pullback. The current levels are more than 40% higher than those recorded two years ago.

Market Performance and Regional Differences

While global markets are thriving, the situation in New Zealand presents a contrasting narrative. The local sharemarket has seen a slight decline in 2025, remaining 16.6% below its record high from early 2021, when dividends are not taken into account. This divergence highlights the varying economic conditions and investor sentiments across different regions.

The continued strength of the global stock market is noteworthy, particularly in the face of recent economic uncertainties. As companies report better-than-expected earnings, analysts suggest that a combination of solid corporate performance and favorable monetary policy could sustain this bullish trend.

In summary, the resilience of global markets amidst economic fluctuations underscores a positive trajectory for investors. As corporate earnings continue to outperform expectations and interest rate cuts loom on the horizon, market participants remain optimistic about future growth.

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