A Whirlwind Week Leaves US Assets Reeling Amid Tariff Turmoil
[ad_1] It has been a brutally volatile week across global markets, driven by a whirlwind of US tariff implementations, abrupt ...
Read more Global Trends Hit Pause, Consolidations to Follow Until Trump’s Liberation Day
[ad_1] The dominant trends that shaped Q1 in global markets appear to have run their course, with most major assets ...
Read more Markets Weekly Outlook – US Dollar, Inflation & PMI Data Analysis
[ad_1] Risk Assets continue to struggle despite some gains in the S&P 500 and Dow Jones. It highlights investor concerns ...
Read more Cliff Notes: Time to Take Stock
[ad_1] Key insights from the week that was. In Australia, the February Labour Force Survey provided a major surprise relative ...
Read more Fed Expected to Keep Interest Rates on Hold, Canadian Price Growth to Move Higher
[ad_1] The balance of risk around the U.S.’s growth may be shifting, but government data still shows a strong economy ...
Read more Dollar at Crossroads: Rebound Possible, But Bearish Risks Intensify
[ad_1] Dollar closed the week broadly lower, with the only exception being its slight gains against the even weaker Yen. ...
Read more The Weekly Bottom Line: Hot CPI + Trade Uncertainties = Extended Fed Pause
[ad_1] Canadian Highlights President Trump announced the re-imposition of steel and aluminum tariffs. This time both metals will face a ...
Read more Cliff Notes: Resilience Offers Promise
[ad_1] Key insights from the week that was. In Australia, the Westpac-MI Consumer Sentiment Index was broadly unchanged in February, ...
Read more Dollar’s Wild Week Ends in Uncertainty, Awaits Next Tariff Cue
[ad_1] Dollar faced significant volatility last week as shifting trade policy signals from the White House left investors scrambling for ...
Read more Weekly Economic & Financial Commentary: In Little Hurry to Cut Further
[ad_1] Summary United States: Economic Momentum Holding, for Now The economy ended 2024 on a solid note with a 2.3% ...
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