Economy

9 June 2026
New Zealand manufacturing sales surge clouds RBNZ rate-cut outlook, boosting NZ dollar prospects

New Zealand manufacturing sales surged 3.6% in Q1, lifting NZD and delaying expected RBNZ rate cuts.

9 June 2026
Sterling Slips Below 200-Day Average as US Data Buoys Dollar and BoE Stays Restrictive

Sterling weakens below 200-day average despite high UK rates, as strong US data boosts dollar, pressuring pound.

8 June 2026
Japan Q1 GDP beats forecasts, bolstering yen and fuelling Bank of Japan tightening bets

Japan’s Q1 GDP rose 0.5%, beating forecasts, boosting yen and raising odds of earlier BOJ tightening.

4 June 2026
Canadian dollar pares losses as Fed–BoC policy gap and jobs data keep USD/CAD supported

Canadian dollar dipped, then recovered as Israel–Lebanon deal hopes rose; USD/CAD near 1.3910 amid Fed-BoC divergence.

4 June 2026
Ireland GDP Slumps 12.1% as Multinational Effects Skew Data, Raising Euro Volatility

Ireland’s GDP plunged 12.1% in Q1, but domestic demand fell just 0.9%, easing panic.

4 June 2026
Eurozone Retail Sales Miss Forecasts, Raising ECB Dovish Bets and Euro Downside Risks

Eurozone April retail sales fell 0.4%, missing forecasts, signaling cautious consumers, weaker growth, dovish ECB pressure.

4 June 2026
Eurozone Retail Sales Beat Forecasts, Tempering ECB Rate-Cut Bets and Lifting Euro Outlook

Eurozone April retail sales beat forecasts, signalling resilient consumers, easing ECB cut pressure, supporting euro and stocks.

4 June 2026
US equity index futures pull back from record highs as S&P ends 11-session winning streak

Futures pull back after strong run; S&P breaks support, Nasdaq reverses, Dow weakens as VIX rises.

4 June 2026
Ireland’s AIB services PMI returns to growth in May, lifting outlook for Irish equities and euro

Ireland’s AIB services PMI rose to 50.8 in May, signaling renewed expansion and modest economic momentum.

4 June 2026
Fed Beige Book flags slow growth and stubborn inflation, fuelling volatility hedges and defensive trades

Beige Book shows modest growth, sticky inflation, flat jobs; stagflation fears spur volatility trades, defensive hedges.

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