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Markets last week were driven by key U.S. data on housing, oil inventories, labor conditions, and manufacturing activity.
This week features several high-impact economic events that could influence global financial markets and major currencies.
Last week's review highlighted key economic data releases, market-moving events, and corporate earnings that shaped global markets.
The upcoming week features several high-impact U.S. economic events that could drive volatility in the US dollar, oil prices, and broader markets.
As the year comes to an end, markets will focus on several high-impact economic releases that could shape sentiment and currency movements.
Last week's review covers the key economic data releases, central bank decisions, and market movements that shaped global financial markets.
The week ending December 12, 2025, saw central banks in Australia, Canada, the United States, and Switzerland maintain a cautious stance.
This week brings a series of important economic data releases and central bank decisions that could influence global markets.