A Week of Contrasts: US Resilience, Hawkish BoJ, ECB Cut Speculations, China’s Reversal
The past week in the financial markets was a blend of the anticipated and the […]
US SPX 500: Bulls Getting Lethargic, and At Risk of a Minor Corrective Decline
The US 10-year Treasury yield has pierced above 4.06% & its 200-day moving average; a […]
Gold: Potential Bullish Breakout from 6-Week Range
Positive price actions in Gold (XAU/USD) as it reintegrated back above its 20-day moving average. […]
Dollar’s Indecisive Week, Rate Cut Bets Hold Despite Inflation Surprises
Dollar demonstrated a distinct lack of decisiveness in its trading last week, encapsulating a theme […]
Year’s Start Sees Shift in Risk Sentiment, Dollar Ended Higher Despite Jitters
The onset of 2024 marked a notable shift in global market sentiment. Major U.S. stock […]
Gold: A Further Deterioration in US 10-year Treasury Yield May Support a Bullish Tone
An increase in dovish expectations on a rapid pace of Fed funds rate cuts projected […]
Risk-On Wave Sweeps Markets, Stocks Hit Records, Dollar Declines
The financial markets concluded last week on a robust risk-on sentiment, driven primarily by the […]
DOW hits new record post-FOMC, 10-year yield presses 4%
DOW surged 1.40% to close at new record high at 37090.24 overnight, after Fed outlined […]
Gold Technical: Extension of Corrective Decline Ahead of FOMC
Lofty dovish expectations of 4 Fed funds rate cut in 2024 are at risk of […]
Market Upturn as Inflation Cools; Stocks Climb, Euro and Dollar Falter
Financial markets were dominated by themes of cooling inflation, a slowing economy, and increasing expectations […]
10-year yield could break above 4% on strong NFP
As financial markets await December US non-farm payroll data, remains the strongest major currency for […]