Weekly Focus – Inflation Pressures Easing But Too Early to Declare Victory
The big market mover this week was US CPI for October, which surprised to the […]
Cliff Notes: Labour Market Offers Hope for the Medium Term
Key insights from the week that was. In Australia, the week began with another sombre […]
Dollar Tops Weekly Performance But Next Move Uncertain, Aussie Suffers
Dollar emerged as the best performer last week, fueled by hawkish remarks from Fed Chair […]
Weekly Economic & Financial Commentary: Long and Variable Lags Evident in Credit Availability
Summary United States: Long and Variable Lags Evident in Credit Availability Ben Franklin famously said, […]
The Weekly Bottom Line: ‘Higher for Longer’ is the BoC’s Winning Strategy
U.S. Highlights The risk of a government shutdown has returned as Congress has one week […]
Softer Canadian Production and Lower US Inflation on Tap Next Week
The advance estimate from Statistics Canada was that September Canadian manufacturing sales edged down 0.1% […]
Week Ahead – US and UK Inflation Data to Take Center Stage
US inflation numbers the next event to shake up Fed bets Pound traders lock gaze […]
Weekly Focus – Maybe Not Quite So High for Quite So Long
The “higher for longer” narrative about interest rates was toned down in a week with […]
Cliff Notes: Inflation Remains the Market’s Chief Concern
Key insights from the week that was. This week, the RBA Board opted to raise […]
Dollar Dives on Risk Appetite Revival and Sliding Yields
In a week marked by a significant shift in investor sentiment, Dollar found itself at […]
Weekly Economic & Financial Commentary: Q4 Appears Off to a Slower Start
Summary United States: Q4 Appears Off to a Slower Start This week delivered an onslaught […]
The Weekly Bottom Line: The Fed’s Door is Still Open
U.S. Highlights The Federal Reserve’s policy statement took center stage this week. As expected, the […]