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Stocks suffer as chances of a summer Fed rate cut decrease. Extra focus on today’s US data releases and Fed speakers. Euro shows resilience while gold defies gravity.
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Dollar strengthens across the board after upbeat ISM as June cut hopes fade. Japan keeps up intervention rhetoric as yen stays under pressure. Gold undeterred by strong dollar, rebounds towards record high. Equities mixed ahead of crucial European and US data.
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Nonfarm payrolls report and European flash CPI to shape rate cut bets. ISM PMIs to also be important for Fed expectations and US dollar. Canadian employment and Chinese PMIs also on the agenda.
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Dollar extends advance ahead of core PCE data. Dollar/yen stays on intervention watch. S&P 500 secures strongest Q1 in five years. Gold stretches to new record high.
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Fed Gov. Waller says no rush to lower rates. June rate cut probability declines, dollar gains. Yen recovers on stronger intervention warnings. Wall Street and gold trade north.
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Yen slips to new 34-year low, drawing stronger intervention threats. Swiss franc loses ground too, dollar rebounds after solid US data. Gold steady near record highs, chipmakers weigh on stock markets.
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Threats of FX intervention help yen to stabilize near three-decade lows.
Dollar and stocks take a step back, Bitcoin jumps in anticipation of halving.
Shortage of liquidity could be an important market theme this week.
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Wall Street leads rally in equity markets, fuelled by rate cut optimism. But
US dollar stages surprise rebound amid US exceptionalism. Pound slides
on BoE’s dovish tilt, yen steadies, PBOC loosens grip on yuan.
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Dollar recovers after Fed selloff, turns to PCE inflation. Yen falls despite rate increase, testing three-decade lows. Quarter-end flows could disturb the waters in a quiet week.
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Fed’s updated dot plot continues to suggest three rate cuts in 2024. Dollar tumbles across the board, June cut probability rises. Pound traders lock gaze on BoE, SNB cuts interest rates. S&P 500, Dow Jones and gold hit new record highs.
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