Week Ahead – Focus on the US Jobs Report as the Fed Ponders More Rate Hikes
US There are no prizes for guessing what the highlight next week will be. The […]
Weekly Economic & Financial Commentary: The Calm Before the Storm
Summary United States: The Calm Before the Storm This week brought glimpses of market stabilization […]
Week Ahead – Nonfarm Payrolls to Set the Tone for US Dollar
With the banking turmoil receding, market participants will turn their attention back to economic releases. […]
Weekly Focus – Inflation Worries Moving Up the Agenda Again
We continue to see large volatility in money and bond markets, as market participants struggle […]
Cliff Notes: Calm Returns to Markets
Key insights from the week that was. Softer updates around the Australian consumer and inflation […]
Canada’s Federal Budget Will Be Unveiled Amid Rising Economic Uncertainty
The Canadian economy has shown resilience so far this year. But there remain pockets of […]
The Weekly Bottom Line: Canada Inflation Moving in the Right Direction
U.S. Highlights The Federal Reserve delivered a modest 25-basis point hike this week amid banking […]
Weekly Economic & Financial Commentary: Fed Tightening – The End is Nigh
Summary United States: Federal Reserve Hikes the Fed Funds Rate by 25 bps The FOMC […]
Week Ahead – Eurozone and US Inflation to Come Under the Microscope After Rate Decisions
Amid ongoing jitters about the fallout from the banking sector, inflation will fall back into […]
The Week Ahead: The Fed’s Preferred Inflation Gauge is on the Menu
Three major central banks hiked rates totalling 125bp last week, and whilst it is not […]
Cliff Notes: The End of the Global Tightening Cycle
Key insights from the week that was. The FOMC and Bank of England both delivered […]
The Weekly Bottom Line: Some Banks Fail, But It’s Not a Free Fall
U.S. Highlights Following the collapse of SVB and Signature Bank, policymakers were quick to put […]