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Brent crude stays above $100 as Iran’s new leader vows to keep Hormuz shut. Hopes of quick end to war fade as Trump makes new threat against Tehran. Stock rout worsens, dollar continues to shine but gold slips. Yen steadier after fresh verbal intervention, US data awaited.
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US and IEA release record barrels of oil but Brent crude hits $100 again. Iran continues to strike ships and oil infrastructure in the Gulf. Inflation expectations creep up as markets ignore steady US CPI data. Stocks head lower again, dollar firms, gold rangebound.
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Dollar rebounds as strikes continue despite Trump’s optimistic remarks. Investors scale back Fed rate cut bets head of US CPI data. Aussie rallies amid increasing expectations of RBA hike next week. Wall Street investors stay cautious, gold rebounds above $5,200.
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Dollar pulls back as Trump says Iran war is “very complete”. Oil falls
sharply, inflation fears ease, investors add to rate cut bets. Wall Street
cheers Trump’s remarks, but downside risks remain. Gold rebounds as
well, ready to flirt with key $5,200 zone.
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Oil price rise scares both investors and the US administration. Dollar rally pauses, while gold’s inability to climb is surprising. Asian equity indices plunge, as European underperformance persists. Dollar/yen reached intervention levels; quiet data calendar today.
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Dollar rebounds as Middle East war rages. Nonfarm payrolls on tap as
investors scale back Fed cut bets. WTI crude rallies above $80 per barrel,
gold remains subdued. Wall Street slips as risk aversion intensifies.
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Dollar pulled back on Wednesday on NYT report. Rebounds on Thursday as Iran strikes Israel.Investors further scale back Fed cut bets on inflation concerns. Oil extends gains, gold rebounds, Wall Street shows resilience.
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Middle East newsflow monopolizes market moves; oil rally persists. Dollar rally pauses, potentially opening the door to a small risk-on reaction. Gold volatility spikes after $380 swing, as buyers enter at the $5,000 level. Key US data release today; dollar/yen rally pauses despite BoJ Ueda’s rhetoric.
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Risk appetite takes another hit; dollar rally gathers pace. Strangely, gold
drops and US yields rise, as investors prefer to remain liquid. Worries
about a prolonged military operation intensify; European equities suffer.
Rich Fedspeak today, but all eyes remain on oil price action.
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Trump orders attack on Iran as Middle East descends into chaos. Oil shoots higher despite OPEC+ increasing output more than expected. Investors flock to gold, dollar and Swiss franc for safety as stocks tumble.
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