Inflation

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.

9 June 2026
Gold stabilises as Middle East tensions ease, with US CPI in focus after sharp weekly drop

Gold steadies as Iran–Israel tensions pause; rising yields and looming US CPI keep bullion capped.

9 June 2026
Dollar Index eases as Iran-Israel tensions cool, with US CPI and Fed outlook in focus

Dollar Index slips after Iran-Israel tensions ease; strong jobs and hawkish Fed bets keep dollar supported.

9 June 2026
RBI Holds Repo at 5.25% as Inflation, Oil and Monsoon Risks Keep Hike Bets Alive

RBI holds repo at 5.25% but turns hawkish, citing inflation, oil, monsoon risks; hikes possible in FY27.

9 June 2026
Pound Edges Up as Iran–Israel Truce Aids Risk Mood, Yet Fed–BoE Divergence Caps GBP/USD

Pound edges higher as Middle East truce lifts risk mood, but Fed-BOE divergence caps gains, options hedge.

9 June 2026
New York Fed survey shows inflation expectations easing as credit and jobs outlook weakens

NY Fed survey: inflation expectations ease slightly; job, credit outlook weakens, prompting defensive hedges amid volatility risks.

9 June 2026
Dow steadies as chip rebound lifts Nasdaq; oil and US CPI in focus amid geopolitical tensions

Dow steady as chip-led Nasdaq rebounds; Iran-Israel ceasefire holds, oil near $91; hot CPI looms, volatility rising.

9 June 2026
Sterling Recovers as Dollar Slips; Markets Await US CPI for Fed and GBP/USD Direction

GBP/USD steadied after dollar pullback; focus shifts to US CPI, Fed hike odds, and key supports.

9 June 2026
National Bank of Canada urges Bank of Canada to add unemployment forecasts to quarterly policy report

Economists urge Bank of Canada to forecast unemployment, shifting policy focus to labour slack, boosting market volatility.

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