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US stocks and cryptos remain under pressure, as gold hovers near record highs. US inflation report in the spotlight; could it surprise like Wednesday’s UK CPI? BoE to cut rates today; voting results to dictate market reaction. ECB to keep rates steady once again; press conference might spark market volatility.
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In-depth forex news analysis on all major currencies, such as EUR/USD, USD/JPY, GBP/USD, USD/CHF, USD/CAD, AUD/USD
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Nonfarm payrolls beat estimates, but October figure disappoints. Investors still expect more than one rate cut in 2026. Pound slides as UK inflation slowdown bolsters dovish BoE bets. Wall Street trades mixed, oil rebounds on Trump’s Venezuela blockade.
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Wall Street slides for second day as NFP and other key data awaited. Dollar mixed ahead of key events, risk-off and BoJ hike bets boost yen. Oil down on Ukraine peace hopes, gold eases from highs.
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Risk markets are still trying to find their footing after the Fed rate cut. Crypto pressure lingers while gold climbs towards its all-time high. Dollar under pressure; spotlight on incoming US data and Fedspeak. Anticipated BoJ rate hike stands out this week; hawkish rhetoric on the cards?
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Wall Street and global stocks hit record despite tech’s AI woes. Dollar set
for third weekly loss as markets brush off Fed’s hawkish dot plot. BoJ rate
hike bets unable to lift yen, pound lags after poor UK data. Copper and
precious metals shine, oil up on Venezuela tensions.
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Market anxiety rises as investors try to second guess tomorrow’s Fed outcome. Mixed risk appetite; both equities and cryptos come under pressure. Hawkish pause from the RBA; aussie/dollar posts uninspiring climb. Both gold and oil decline, experiencing low volatility.
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Dollar trades mixed ahead of Fed’s widely anticipated rate cut. Data prompts investors to scale back rate cut bets for 2026. BoC to stand pat; upbeat data allow for hawkish message. Wall Street awaits Fed decision, oil slides on Ukraine peace headlines.
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Market anxiety rises as investors try to second guess tomorrow’s Fed outcome. Mixed risk appetite; both equities and cryptos come under pressure. Hawkish pause from the RBA; aussie/dollar posts uninspiring climb. Both gold and oil decline, experiencing low volatility.
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Investors mostly on the sidelines; countdown to Wednesday’s Fed meeting is almost over. Fragile risk appetite; cryptos start the week on the right foot. RBA meets on Tuesday; Aussie/dollar continues to climb. Oil and gold are rangebound; slow progress in Ukraine-Russia negotiations.
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Dollar resumes slide ahead of shutdown-delayed PCE inflation data. Yen
extends recovery as probability of December BoJ hike surges. Aussie gains
as RBA seen keeping rates on hold through 2026. Stocks extend recovery
as markets eye Fed rate cuts, gold rebounds.
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