Topic: Europe
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UK assets in spotlight for wrong reasons
Pound and gilts dumped. Dollar back on top as jobs report looms. No reprise for the euro.
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Markets navigating a sea of change
FX in Trump’s shadow in 2025. No prospect for bullish change. UK making headlines in fixed-income market.
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Conflicting tariff talk moves markets
Déjà vu. Euro pounces on tariff news. Retail sales help pound’s rebound.
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Kicking off the year with a sense of continuity
Payrolls to power dollar’s dominance. Grim start for sterling. Negative pressures pile up on euro.
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Volatility risk spikes
Risk-off on US funding bill drama. Sterling drops to 6-month low after BoE. A historic year for the euro.
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Worst Fed day since 2001
Hawkish as a rate cut can be. Euro feeling the brunt of it. BoE up next, guidance is key.
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