Inflation

19 August 2026
Gold steadies near $4,335 as rising global yields cap gains and geopolitics support demand

Gold steadies near $4,335 as surging global yields pressure bullion; geopolitical risks and Fed pause hopes support.

19 August 2026
Indonesia’s 2027 budget targets 6% growth with 2.4% deficit amid rupiah and yield risks

Indonesia’s 2027 budget targets 6% growth, 2.4% deficit, weaker rupiah, higher yields; traders hedge volatility.

19 August 2026
Sterling Steadies as Middle East Risk Offsets Soft US Data Ahead of UK CPI and Fed Minutes

GBP/USD held near 1.3547 as Middle East tensions offset softer US data and UK CPI focus.

19 August 2026
Gold steadies near $4,400 as rising US yields fail to dent safe-haven demand amid fiscal worries

Gold holds near $4,400 despite rising yields, as fiscal, inflation fears and renewed ETF inflows boost demand.

19 August 2026
Gold steadies as softer US data supports rate pause, but Middle East oil risks cap upside

Gold supported by steady Fed outlook and weaker dollar, but oil risks cap upside; range-bound forecast.

18 August 2026
Offshore Share of New Zealand Bonds Rises as Investors Brace for Dovish RBNZ Turnaround

Foreign bond ownership hit 58.9% in July, suggesting demand persists as RBNZ hike expectations fade.

18 August 2026
US Redbook retail sales growth slows to 7.6%, bolstering bets on Fed policy easing

US Redbook YoY growth slowed to 7.6%, signaling cooling retail sales, easing inflation pressure, and shifting markets.

18 August 2026
Gold slips as firmer dollar and surging US yields cap gains; traders eye Fed minutes

Gold dips as dollar and yields rise; traders eye $4,300–$4,450 range, Fed minutes and Hormuz tensions.

18 August 2026
Sterling slips versus yen as UK jobs growth cools and markets await inflation data

Sterling slips versus yen on weaker UK jobs; traders eye GBP/JPY shorts, ahead of CPI, BoJ hike.

18 August 2026
Gold slips below $4,400 as firmer dollar and oil-driven inflation fears curb demand

Gold slips below $4,400 as dollar firms; oil-driven inflation and Middle East tensions keep volatility elevated.

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