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CAC 40 swings between geopolitical risks and corporate earnings

The CAC 40 index shows marked volatility in late April 2026, torn between geopolitical uncertainties in the Middle East and quarterly earnings releases.

Published 20sem1 sourceMajorupdated 2sem
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The Paris market is seeking balance at 70 points below its all-time high, while oil has been rising for several weeks.

Investors remain cautious about global economic prospects and potential impacts of regional crises on energy demand.

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Auto-synthesis from 1 media source · identified on April 23, 2026
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