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US equity indices enter bear market territory. China retaliates, while Europe is still discussing its response. Pressure on the Fed to save the day; Powell is not giving in yet. Gold, oil and bitcoin suffer considerable losses.
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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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Dollar traders await US CPI data amid global trade turbulence. RBNZ to cut by 25bps, could maintain dovish stance. China’s CPI and PPI to reveal tariff impact on inflation. Strong UK GDP data could help the pound climb higher.
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US stocks slump in worst day since 2020 Covid crisis amid tariff blitz. Dollar hits 6-month low as Treasury bonds outshine, yields sink. But global equity selloff eases slightly ahead of NFP report, Powell speech. Oil plunges after OPEC+ output hike, gold loses out in safe-haven rush.
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Trump announces reciprocal tariffs: no country spared. Global recession fears as EU, China and Japan hit hard. Major escalation in trade war sparks selloff in risk assets and US dollar. US futures plunge by more than 3%, but gold rally runs out of breath.
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Trump to announce his tariff decisions at 20:00 GMT. All bets about Trump’s stance and the tariffs’ start date are on. Risk appetite to be supported by a softer set of announcements. US data could further increase concerns about stagflation.
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Trump dashes hopes of tariff leniency, dollar slips amid recession risks. US
data fuels stagflation fears data, NFP eyed next. Gold and yen surge, Wall
Street sinks.
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Tariff concerns persist ahead of PCE inflation data. BoJ divided over rate
hike timing, Tokyo inflation accelerates. Wall Street slips after Trump’s auto
tariffs announcement. Gold enters uncharted territory as flight to safety
intensifies.
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US jobs report might show DOGE impact on labour market. Trump’s reciprocal tariffs could spur more chaos. Eurozone inflation will be vital for ECB bets as April cut uncertain. RBA to likely hold rates.
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Trump announces car tariffs, prepares ground for April 2 deadline. US equities suffer; European equities could be under severe pressure. Dollar gets a small boost against euro and yen. Gold and oil maintain most of their recent gains.
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Both US equities and the dollar continue to recover. US consumers are under stress, as the April 2 deadline is approaching. Pound suffers from weaker inflation; all eyes on the Budget update. Gold, oil and bitcoin move in sync.
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