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Fed meeting in sight; Miran could attend, Cook’s future may be decided today. Dollar tries to find its footing after a mixed-performance week. European equities upbeat, overcoming weakness during Asian session. Cryptos try to capitalize on positive newsflow; gold supported by Trump’s rhetoric.
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US CPI meets forecasts but jobless claims jump, bolstering Fed easing bets. Dollar slips, stocks extend weekly gains as Wall Street hits record. ECB keeps door open to rate cut but euro inches higher. Gold eyes new all-time high as Treasury yields sink.
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Fed expected to cut rates, focus to fall on the new ‘dot plot’. BoC seen cutting rates by 25bps due to weak economic data. BoE to remain on hold, voting may shake the pound. Amid political uncertainty, the BoJ is expected to stand pat.
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US producer prices unexpectedly ease, raising hopes of soft CPI report.
Fed rate cut bets lift equities, but US dollar edges higher. Wall Street
additionally boosted by AI optimism after upbeat Oracle earnings. Euro
drifts lower ahead of ECB decision.
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Dollar and US equities rally; crypto market is indecisive. Volatility remains elevated despite improved risk sentiment. US PPI data could show tariff impact ahead of CPI report. Gold and oil are supported by broader geopolitical tensions.
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US employment expected to be revised down by 800,000 for year to March. A bigger revision could bolster bets for 50-bps rate cut in September. Dovish expectations pummel bond yields and dollar, lift stocks and gold. Euro and French bonds stay calm after PM Bayrou ousted.
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Softer US jobs data leave door open for a larger Fed rate cut. Dollar and US equities try to find their footing today. Yen under pressure after PM Ishiba’s resignation. Gold and oil rally, supported by weaker dollar and geopolitical tensions.
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Risk sentiment improves, dollar slightly under pressure. Gold holds gains, bond yields ease across the board. Today’s NFP could determine the size of the Fed rate cut. Decent market reaction if jobs data delivers a strong upside surprise.
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US CPI and PPI data to take centre stage ahead of Fed decision. ECB to likely hold rates, might signal long pause. OPEC decision to shape sentiment at start of week. Bond markets on alert for Treasury auctions and French budget vote.
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Risk sentiment remains fragile ahead of the first batch of key US data. Gold and rising bond yields continue to unnerve investors. ADP report and ISM Services PMI might open the door to a 50bps Fed cut. Fedspeak to intensify, markets to digest Miran’s hearing headlines today.
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