Week Ahead – ECB Set to Pause Tightening Cycle, a Big Week for Earnings
US Now that Fed Chair Powell signaled that the Federal Open Market Committee will keep […]
BoC to Hold Key Overnight Rate Steady Next Week
Economic data releases since the Bank of Canada opted to forego an interest rate hike […]
Week Ahead – ECB Meeting and US GDP to Shake FX Markets
Central bank decisions in Eurozone and Canada coming up But FX traders will likely focus […]
Weekly Focus – Risk of Escalation in Middle East Drives Oil Prices Higher
Geopolitics has taken centre stage in financial markets once again. As the risk of escalation […]
Cliff Notes: Mixed Signals Keep Central Banks Data Dependent
Key insights from the week that was. In Australia, the October RBA meeting minutes provided […]
The Weekly Bottom Line: Goodbye “How High”, Hello “How Long”
U.S. Highlights U.S. bond yields retreated from highs reached last week, as heightened geopolitical risks […]
Weekly Economic & Financial Commentary: Inflation Continues to Gradually Drift Lower
Summary United States: Inflation Continues to Gradually Drift Lower The Consumer Price Index (CPI) rose […]
Canadian Inflation Expected to Edge Lower in September
Inflation data and the Bank of Canada’s closely-watched Business Outlook Survey will be front and […]
Week Ahead – US Retail Sales and Earnings, Major Chinese Data, and UK Inflation and Employment Readings
US This week Wall Street will learn how quickly the US consumer is weakening and […]
Week Ahead – US Retail Sales and UK CPI Data Enter the Sspotlight
After US CPIs, US retail sales may also impact Fed hike expectations Will the UK […]
Weekly Focus – Geopolitics and Inflation Spark Volatility in the Markets
Risk sentiment remained shaky over the past week as markets digested a mix of renewed […]
Cliff Notes: Uncertainty on Many Fronts
Key insights from the week that was. In Australia, Westpac-MI Consumer Sentiment remains in deeply […]