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Wall Street bounces back as earnings beats more than offset disappointments. Dollar struggles as mixed US data sets the tone ahead of January jobs report. Pound edges up after Bank of England’s Bailey urges caution over rate cuts.
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Dollar cannot sustain Fed-fueled advance, will ISM data help? Reserve Bank of Australia could abandon its tightening bias.
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Fed’s Powell says March rate cut not the “base case”. Dollar gains, but Treasury yields slide. BoE to stand pat, focus to fall on guidance. Wall Street tumbles, awaits more earnings results.
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Fed to stand pat, focus to turn on rate path signals. Aussie falls after Australian CPI slows by more than expected. Euro slides ahead of preliminary CPI data from Germany. Wall Street trades mixed ahead of Fed decision.
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Stocks perky ahead of Fed decision as US data and China measures lift optimism. Dollar and yields little changed after goldilocks reports, NFP eyed next. Oil and gold spike on geopolitical concerns amid fresh ME tensions.
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Euro trades lower as ECB downplays inflation threat. Dollar gets a boost
from US GDP, turns to core PCE data. Stocks hit new records, but futures
drop after soft earnings.
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It’s a packed week ahead with key central bank decisions and big data releases. Will the Fed (Wednesday) and Bank of England (Thursday) signal rate cuts? US jobs report, Eurozone GDP & CPI will also be crucial.
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Euro drifts ahead of ECB decision, dollar awaits US GDP data. Gold
retreats as solid business surveys dampen rate cut bets. Tesla earnings
miss estimates, Chinese stocks bounce back.
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Dollar retreats as Bullard talks March rate cut. Yen recovers again on BoJ hike speculation. BoC to keep interest rates untouched. Risk appetite remains supported, S&P 500 hits new record.
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BoJ stands pat as expected, lowers core CPI projection. But yen rebounds on Ueda’s relatively hawkish remarks. Risk sentiment improves on China’s stimulus plan. S&P 500 and Dow Jones hit fresh record highs.
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