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Overview Global markets had a busy week, driven by key economic data, central bank updates, energy market developments, and major corporate earnings. Inflation, GDP, jobl...
Overview This week brings a busy economic calendar, with several high-impact releases likely to influence the US dollar, Australian dollar, Canadian dollar, and oil price...
Overview This week’s economic calendar is packed with high-impact releases from Australia, New Zealand, the United States, and Canada. Markets will closely watch in...
The UAE's decision to leave OPEC marks a major turning point for the oil market. For decades, OPEC has played a central role in managing global supply, supporting prices,...
Overview The week of April 14–17 featured a busy mix of key economic releases, commodity moves, and major corporate earnings. Markets reacted to fresh data on US inflatio...
This week's calendar features several high-impact economic releases that could drive volatility across the US dollar, Australian dollar, and British pound.
Markets last week were driven by key U.S. data on housing, oil inventories, labor conditions, and manufacturing activity.
The upcoming week features several high-impact U.S. economic events that could drive volatility in the US dollar, oil prices, and broader markets.
With the week already in motion, traders are preparing for a series of high-impact economic releases that could shape market sentiment heading into the weekend.
Last week's economic calendar brought mixed labour, growth, and energy data across major economies, plus notable moves in commodities, equities, and earnings.
This week's calendar features several key economic indicators that could influence major currencies and commodities.
Crude oil markets remain under pressure as a combination of weaker refinery activity, soft fuel demand, and ongoing geopolitical uncertainty weighs on sentiment.
Markets face a big week with key economic data and central bank moves. Investors eye signals on rates, jobs, and consumer sentiment.
Global energy markets enter a pivotal phase as shifting demand patterns, tightening inventories, and long-term climate challenges reshape the outlook.
Key economic data from Australia, the UK, and the US this week may move currency, commodity, and equity markets.
Crude oil markets remain under pressure as a mix of supply shifts, geopolitical tensions, and technical weakness shapes sentiment.