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Dollars ends the week in the green; traders still bet on third rate cut. Trump
to announce narrower, more targeted tariffs on April 2. Euro pulls back, yen
extends slide despite hawkish Ueda. Wall Street set to open higher after
tariff-related reports.
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Dollar gains as Fed in no rush to lower rates. Focus turns to speeches by
Goolsbee and Williams. SNB cuts interest rates, BoE remains on hold. Wall
Street pulls back, oil gains on Iran sanctions.
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US PCE inflation up next, but will consumption data matter more? UK budget and CPI in focus after hawkish BoE decision. Euro turns to flash PMIs for bounce as rally runs out of steam. Inflation numbers out of Tokyo also on the agenda.
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Fed keeps rates unchanged as Chair Powell calms markets. Forecasts point to stagflation and 50bps cuts in 2025. Positive equity reaction, but Trump’s rhetoric could reverse sentiment. BoE in the spotlight; pound could suffer from a dovish meeting.
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Dollar trades mixed ahead of FOMC decision. Fed to stand pat, focus to fall on new projections. BoJ remains on hold, gives no clear signals on rate hikes. Wall Street turns south, gold hits fresh record highs.
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Fed expected to stand pat, focus to fall on new dot plot. Yen traders await BoJ for clues about next rate hike. German parliament to vote on spending surge, euro extends rally. Wall Street rebounds, gold climbs to new record highs.
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Risk appetite to be tested after Friday’s stock rally. US retail sales report
could reignite US recession fears. Tuesday’s Trump-Putin call could seal
the ceasefire. Both gold and oil markets prepare for risk-positive headlines.
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Tariff chaos pushes gold above $3,000, dollar advances too. But some easing in risk-off mood after US government shutdown averted. US futures turn higher, Chinese stocks rally on consumption stimulus. Euro drifts lower amid US-EU tariff battle and German debt brake talks.
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Fed decides on policy amid recession fears. Yen traders lock gaze on BoJ for hike signals. SNB seen cutting interest rates by another 25bps. BoE to stand pat after February’s dovish cut.
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· Softer-than-expected US CPI report offers some relief from trade frictions
· But equities can’t sustain gains as Canada and EU slap counter tariffs on US
· US government shutdown threat also weighs on markets
· Dollar mixed, gold approaches all-time high
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