Topic: Market Insights
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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.
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Markets cautiously cheer China’s data
Strong US data amid rising tensions. UK stagflation fears persist. Euro is hoping for a Chinese comeback. CAD softer after inflation miss.
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Markets cautiously support China’s data
Strong US data amid rising tensions. UK stagflation fears persist. Euro is hoping for a Chinese comeback.
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USD/CNH at five-week highs ahead of China GDP
US dollar mostly lower despite strong data. China GDP due. GBP weaker ahead of UK inflation.
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Dollar firms as risk aversion picks up
Euro vulnerable to geopolitical escalation. Retail sales expected to show evidence of weakness. Easing UK wage growth weighs on pound.