Week Ahead – Avalanche of Data Releases to Keep Traders Busy
There are no major central bank decisions scheduled for next week, but that doesn’t mean […]
Cliff Notes: Constructive Developments for the Consumer
Key insights from the week that was. Developments in Australia and the US this week […]
Week Ahead – Can CPI, Retail Sales, and Bank Earnings Derail Fed Rate Hike Odds?
US The US labor market is softening, but still remains tight and that should keep […]
Weekly Economic & Financial Commentary: OPEC+ Surprises With Production Cuts
Summary United States: Labor Market is Strong but Loosening Data this week broadly added evidence […]
Week Ahead – US CPI Data, Fed Minutes, and BoC Decision on Investors’ Radar
Next week starts on a quiet note as Monday is Easter Monday for most economies […]
Bank of Canada to Stay on the Sidelines
The Bank of Canada likely won’t make any change to the overnight interest rate next […]
Cliff Notes: Asia Shows its Strength as US Growth Prospects Dwindle
Key insights from the week that was. In Australia, the RBA was the key focus […]
Banking Concerns Subside, Inflation Worries Ease, Dollar Lost Ground
Last week, investors appeared to view the banking crisis as well-contained, pushing it into the […]
The Weekly Bottom Line: Quiet End to a Volatile Quarter
U.S. Highlights FOMC voting members noted the interest rate path will depend on incoming data […]
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. […]