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Markets enter a pivotal stretch with several high-impact events on the horizon. Central bank decisions, U.S.
Major global economic indicators and central bank decisions shaped markets last week, alongside key corporate earnings
Markets are heading into a pivotal stretch of data and central bank decisions, with volatility likely to rise around high-impact releases.
This week: UK inflation, Fed, BoC & BoE rate decisions, plus growth data from New Zealand and jobs figures from Australia. (154 characters)
Canada grapples with deficits, weak industrial recovery, shifting monetary policy, and trade tensions, fueling an uncertain economic outlook.
The week ahead is packed with high-impact economic events that could drive volatility across global markets.
Markets are turning their attention to a busy second half of the week, with key data and central bank decisions lined up.
Markets face a busy week with high-impact data releases from the UK, Germany, and the US likely to drive volatility across major currencies
Markets eye US retail sales and consumer sentiment data Friday, key indicators that could drive short-term market sentiment and volatility.
A busy first week of August featured steady economic data, major central bank moves, commodity volatility, and a packed corporate earnings calendar.
Market attention turns to Friday's Canadian employment data, which could inject volatility into CAD pairs and influence broader risk sentiment.
This week's economic calendar is packed with high-impact events that could drive volatility across major currencies.
This week features a packed calendar of high-impact economic data releases and central bank decisions across major economies.
The week ending June 20 showed a mixed global economy as central banks adjusted policies amid changing inflation and varying regional growth trends.
In a week marked by key monetary policy decisions, major central banks are taking varied approaches in response to shifting inflation and growth dynamics.
GBPUSD continues to trade within a technically supportive environment, underpinned by favorable momentum indicators and medium-term bullish patterns.