EUR

22 July 2026
USD/JPY breaks above 163 as safe-haven dollar strength meets Japan intervention risk

USD/JPY hits 163.04, boosted by safe-haven dollar demand; intervention risk grows as yen weakness persists.

22 July 2026
Japan Pivots to Proactive Fiscal Plan as Insurers Snap Up Super-Long JGBs, Yen Swings Loom

Cabinet approves Takaichi’s first guidelines: proactive spending, ¥370tn investment goal, debt-ratio focus; JGB flows shift, yen volatility.

21 July 2026
USD/JPY Near YTD Highs as Oil Shock Weighs on Yen, Japan Sets Fiscal and Investment Plans

USD/JPY stayed near 163 as rising Brent hit yen; Japan’s strategy and tax decision may spark volatility.

21 July 2026
USD/JPY Near 162.60 as Iran Ceasefire Talk Eases Dollar Bid, Japan CPI Looms

USD/JPY nears 162.60 as geopolitics ease; traders eye pullback via puts ahead of rising Japan CPI.

21 July 2026
Yen Holds Near 162.50 as Markets Weigh US-Iran Ceasefire Prospects and Key Data

Yen steadies near 162.50 as traders await US-Iran ceasefire decision, eyeing BoJ CPI and US PMI.

21 July 2026
Dollar-Yen stagnates near 162.50 as Japan data and US PMI loom, intervention focus persists

USD/JPY steadies near 162.50, ignoring BOJ hikes and yen interventions; eyes trade data, CPI, key levels.

21 July 2026
USD/JPY steadies near 162.55 as Houthi risk premium lifts dollar, BoJ intervention threat looms

USD/JPY holds near 162.55 as geopolitical risks and hawkish Fed support dollar, raising intervention volatility concerns.

20 July 2026
Japan June CPI Seen Firming, Fueling Bets on Faster Bank of Japan Rate Rises and Yen Support

Japan’s June CPI likely rises, boosting BoJ hike expectations; yen could strengthen as markets reprice rates.

20 July 2026
AUD/JPY Holds Near 113.55 as RBA-BoJ Yield Gap Supports, Yen Intervention Risk Caps Gains

AUD/JPY hits 113.55 on yield gap; intervention risk looms—hedge with puts, JPY calls, ratio spreads.

20 July 2026
USD/JPY holds near 162 as yen intervention risk and Middle East tensions support dollar

USD/JPY held near 162 as holiday-thinned trade faced intervention risk, yield-gap support, and Middle East tensions.

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