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Dollar ready to lock weekly gains on Middle East unrest. Oil rebounds as supply concerns remain elevated. SNB cuts by 25bps, BoE delivers dovish hold. Wall Street resumes trading after Juneteenth.
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Ongoing Israel-Iran tensions to keep risk sentiment in check. US core PCE and consumption data to offer much-needed distraction. CPI readings also due in Canada. Flash PMIs for June in the spotlight too amid tariff chaos.
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Fed holds rates steady, revises inflation projections up. Dollar gains, also aided by escalating Isreal-Iran tensions. Oil rebounds on increasing worries about supply disruption. SNB cuts rates by 25bps, BoE expected to stand pat.
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Israel-Iran conflict continues; US considers joining in. Dollar slips as risk appetite slightly improves. Oil maintains its recent gains, but gold fails to benefit. Pound pressure lingers as BoE meets on Thursday.
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Israel-Iran headlines remain the main market driver. Amid rising uncertainty, the Fed decides on rates on Wednesday. BoJ keeps rates steady, slows bond tapering. Wall Street closes higher, but futures point to lower open today.
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Israel-Iran confrontation intensifies. Risk appetite improves after an abysmal session on Friday. Dollar is on the back foot again; both gold and oil surrender gains. Four central bank meetings this week, starting with BoJ on Tuesday.
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Israel launches military strikes on Iran as tensions flare. Oil jumps more
than 10%, safe havens rally but stocks plunge. Bond yields fall ahead of big
week for central bank decisions.
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Fed officials to stand pat as they await further clarity. A dovish BoJ could push rate hike expectations into 2026. Deflation fuels speculation about negative SNB rates. BoE may sound more dovish after disappointing Uk data.
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Trump dampens risk appetite, cites unilateral tariff plan. Dollar and equities suffer as investors also question US-China progress. British pound under pressure after another set of soft UK data. Gold and oil give back overnight gains.
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US and China reach framework deal but lack of details caps sentiment. Fed rate cut bets scaled back ahead of expected US CPI increase. Cautious risk appetite supports equities, dollar steadier but gold climbs. Pound extends slide ahead of UK government’s spending review.
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