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Euro hits 6-week low as risk premium for French debt jumps. But equities mixed as selloff eases. Trio of central bank decisions eyed.
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Yen suffers from BoJ's inactivity. Dollar recovers from Wednesday’s
underperformance. US stock indices’ euphoria continues.
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It will be another central-bank-heavy week with the RBA, SNB and BoE. None are expected to cut but there’s room for surprises. Retail sales will be the highlight in the United States. Plenty of other data also on the way, including flash PMIs and UK CPI.
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Dollar tumbles after weaker-than-expected CPI data. Recovers somewhat after Fed signals one rate cut. BoJ decision looms as investors bet on July hike. US CPI data propels Wall Street to fresh records.
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Dollar awaits US CPI data and Fed projections. Euro still feels the heat of EU elections. Nasdaq and S&P500 hit fresh records ahead of Fed.
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Euro tries to recoup part of Monday’s losses. US stock indices trade sideways but volatility remains high. Lighter US calendar but some interest on the 10-year bond auction. Pound is on the backfoot after the weaker jobs data.
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US nonfarm payrolls surge past expectations. Dollar skyrockets as Fed rate
cuts are scaled back. Euro slips as Macron calls snap election in France.
S&P 500 pulls back after hitting new record high.
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US CPI data and Fed to determine the dollar’s fate. Will the BoJ signal that another rate hike is looming? Pound traders await UK employment and GDP numbers. RBA hike bets shrink ahead of AU jobs and China CPI data.
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ECB cuts rates but outlook remains unclear. Market is focusing on the US labour market data. Weaker prints could open the door to a dovish Fed meeting. Stock markets could suffer if there is an upside surprise today.
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ECB expected to follow in BoC’s footsteps and cut by 25bps. Fed rate cut hopes rise despite upbeat ISM services PMI. Dollar mostly steady, stocks surge higher.
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