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NFP beats estimates, but unemployment rate rises. Dollar retreats as Dec.
Fed cut chance increases slightly. Yen rebounds after Katayama mentions
possibility of intervention. Wall Street slips as Fed officials worry about
asset valuations.
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Risk assets sell off on AI valuation concerns and hawkish Fedspeak. US data in focus amidst a holiday-shortened week with low liquidity available. Dollar weakness hinges on improved risk appetite and weak data releases. Intervention risk heightens for yen; pound traders await Wednesday’s Budget.
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Fed minutes weigh on December Fed rate cut chance. Traders lock gaze
on September US jobs data. Yen extends losses as intervention seems
less imminent. Wall Street cheers Nvidia’s earnings results.
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Equities steadier after Wall Street bloodbath; all eyes on Nvidia. Gold on firmer footing but cryptos slide again. Dollar at one-week high ahead of Fed minutes. Pound slips marginally after CPI data, soaring Japanese yields pressure yen.
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Stocks’ sell-off continues, cryptos feel the brunt while gold also suffers. Dented December Fed rate cut expectations play a key role. Nvidia earnings and data releases could turn the tide around. Yen remains under pressure amidst stimulus talks.
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Dollar edges up as delayed NFP and other US data set to start rolling in. Gold battered by waning Fed rate cut expectations. Jump in UK and Japanese yields also causes angst. But some relief for equities and cryptos from easing US tariffs.
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US stocks sell off, led by the Nasdaq 100 index and discretionary shares. Cryptos under severe pressure, Bitcoin drops below the key $100k level. Hawkish Fedspeak and dented Fed cut expectations among the drivers. Dollar/yen stabilizes as pound suffers from political instability.
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Japan and the UK to publish CPI data, but not the US. US October jobs and inflation reports may never get released. New release schedule likely; FOMC minutes eyed in meantime. Flash PMIs to be watched amid renewed economic worries.
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US shutdown ends, investors prepare for a flurry of delayed data. Fedspeak remains hawkish; US administration craves rate cuts. Euro/dollar climbs to 1.1600; cable and dollar/yen stabilize. Equities and gold rally, but risk sentiment appears fragile.
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Japan’s Katayama highlights negative impact of weak yen. US labor market
concerns increase chance of December Fed cut. Soft UK jobs report takes
BoE rate cut probability higher. Stock futures rise; gold extends rebound
despite broader optimism.
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