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High-impact events this week from the U.S., New Zealand, Australia, Switzerland, and the UK may spark fresh market volatility.
This week features a packed calendar of high-impact economic events and central bank decisions that could move global markets.
The week ending May 2, 2025, was marked by a series of high-impact economic indicators, central bank decisions, and key corporate earnings that collectively shaped market...
A busy midweek lineup of high-impact data is set to shape market sentiment, with traders closely watching key releases from Australia, China, Germany, the U.S., Canada, a...
This week is packed with high-impact economic events and key corporate earnings releases that could influence global markets.
Central banks across the globe are navigating a complex mix of inflation pressures, political uncertainty, and evolving trade dynamics.
Key economic events this week: Australia's employment data, Switzerland's SNB rate decision, UK's bank rate announcement, and U.S. unemployment claims.
This week's high-impact economic events, including central bank decisions and employment data, could drive market volatility.
This week brings several high-impact economic events that could shape market sentiment across major currencies and asset classes.
This week's key economic releases, including U.S. GDP, unemployment claims, and the Core PCE Price Index, could drive market volatility.
The USDJPY pair remains under pressure as market participants digest key economic and geopolitical developments.
US job growth is expected to slow in January due to weather disruptions, but strong wages and low layoffs suggest the Fed will hold off on rate cuts until mid-year.
The past week's economic indicators and corporate earnings provided valuable insights into global market trends.
The global financial landscape remains in sharp focus as markets navigate a dynamic mix of technical signals and fundamental developments.
The Bank of Japan prepares for a potential interest rate hike amid cautious market sentiment and ongoing economic recovery.
This week brings a mix of critical economic indicators and corporate earnings that could shape market sentiment.