Topic: Market Insights
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War lingers but focus shifts to macro again
Three implications from two weeks of war. Big week for Europe – is the continent bottoming? Risk-sensitive sterling suffers.
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Global markets remain pressured as geopolitical risk rises
US shares end week lower. Asian FX pressured. BoC, ECB to meet.
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Investors embracing higher yields
Has the Fed lost control over the 10-year yield? Euro set to record best week since July. GBP/EUR at 5-month low after retail sales miss.
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Powell’s tough talk sends US ten-year bond yields to 2007 highs
Financial markets weaken as ten-year bond yields nears 5.00%. INR climbs from all-time lows. GBP pressured ahead of retail sales.
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Global risk aversion grips markets
US 2-year yield closing in on 22-year high. EUR/CHF eyeing lowest weekly close on record. Pound buckles under global risk aversion.
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Middle East tensions weigh on market ahead of Powell speech
Geopolitical tensions pressure markets. Chinese GDP boosts, but gains short lived. Powell speech due.