Topic: Daily Market Updates
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Spotlight on U.S. growth today as April 2nd nears
New U.S.-Canada tariffs expected after April 2nd. Risks around “fiscal and trade policies”. Euro under pressure. Monetary caution and fiscal consolidation influence pound.
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Equities rebound amid uncertain policy
Risks around “fiscal and trade policies”. Euro under pressure. Monetary caution and fiscal consolidation influence pound.
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Greenback at three-week highs as markets look to PMIs, GDP
USD gains for third day following Fed. US PMIs set to moderate from February highs. Focus on inflation and GDP this week.
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Steady dollar wraps calm week
April 2nd will lead the show. Post-Fed euphoria fades. Euro bracing for a weekly decline. BoE in no rush.
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Dollar gains as sentiment sours
Post-Fed euphoria fades. Euro bracing for a weekly decline. BoE in no rush.
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Aussie hit by jobs shock
Aussie plunges after February jobs report. Greenback rebounds, moves into short-term uptrend. British pound higher after BoE.