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The coming week is packed with key economic releases and central bank decisions that could drive market volatility.
The week of September 23 to 26 featured a series of key economic releases and corporate earnings that shaped market sentiment.
Friday’s CAD GDP & US Core PCE may spark FX moves; Aussie elections add AUD risk Monday. USDCHF rebound continues, with signals pointing higher.
Australia's markets are navigating a mix of sticky inflation, a resilient yet cooling labor market, and rising geopolitical risks.
Markets enter a pivotal stretch with several high-impact events on the horizon. Central bank decisions, U.S.
This week's calendar is packed with market-moving releases that could stir volatility across major currencies and commodities.
Silver surges to multi-year highs in 2025, driven by Fed rate cuts, safe-haven demand, and booming industrial use fueling a powerful rally.
Major global economic indicators and central bank decisions shaped markets last week, alongside key corporate earnings