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Volatility reawakens, and the pound is feeling It
Sterling sentiment snaps as bond turmoil bites. Summer’s lull looks over. Amid tepid sentiment and a global bond sell-off.
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Three key themes influencing market dynamics
Familiar headwinds on summer’s closure. EUR/USD breaks north of 1.17 – but can it hold? Sterling’s slow grind.
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All eyes on Fed’s favourite inflation metric
Structural cracks meet tactical fog. Strong UK data and shifting rate expectations. Dovish whispers linger in Frankfurt.
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Political uncertainty rattles markets
Fed autonomy still in question. Sentiment takes a hit: The euro’s triple threat. Sterling faces structural strains.
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Dollar rebounds as Powell countdown begins
All eyes on Jackson Hole. Euro softens despite strong PMIs. Pound at 2-week low as risk sentiment wavers.
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Political pressure and PMI pulse check
Fed under fire again. Flash PMIs could jolt euro. Losing Interest: sterling’s real rate reality.