Inflation

30 July 2026
Fed Steady Stance Weakens Dollar as Focus Shifts to BoE and Sterling Outlook

Fed hold steepens curve, weakening USD; focus shifts to BoE likely hold, hawkish tone, dissent risks, sterling outlook.

30 July 2026
Belgium’s July CPI jump fuels bets on eurozone rates staying higher for longer

Belgium’s July CPI jumped 0.63% MoM, fueling Eurozone inflation fears; traders eye bond shorts, euro calls.

30 July 2026
EUR/JPY Steadies as Germany’s Q2 GDP Beats Forecasts Ahead of Inflation and BoJ Decision

EUR/JPY steadied near 187.35 as strong German GDP and hotter inflation data shifted focus to CPI, BoJ.

30 July 2026
USD/CAD rebounds as US GDP and PCE loom, oil rallies on Middle East tensions

USD/CAD rebounds near 1.4060 as US GDP/PCE loom; oil at $93, geopolitics pressure CAD.

30 July 2026
Fed holds rates as Warsh clouds outlook, steepens Treasury curve and weakens dollar amid credibility doubts

Fed held rates; Warsh offered unclear rationale. Treasuries sold off, curve steepened, dollar fell, credibility questioned.

30 July 2026
Hesse CPI Surge Rekindles ECB Hawkish Bets, Pressuring Bunds and Lifting Euro Call Demand

Hesse CPI jumped 0.7% in July, boosting inflation fears, implying hawkish ECB stance and market repositioning.

30 July 2026
Croatia PPI Jumps as CEE Fuel Shock Rekindles Inflation Risks Ahead of Key Data and Fed Split

Middle East fuel shock lifts CEE inflation risks; hawkish Fed and GDP data spur higher-for-longer bets.

30 July 2026
EUR/USD dips as markets await German inflation, GDP data after Fed holds rates steady

EUR/USD slips near 1.1455 ahead of German inflation/GDP data; bullish double-bottom points to 1.1557 target.

30 July 2026
Gold slips after $4,100 rejection as firmer dollar and Fed hike bets curb demand

Gold retreats after $4,100 rejection as dollar strengthens; hawkish Fed, Middle East tensions, and bearish setup weigh.

30 July 2026
WTI slips below $83 as Fed holds rates and Middle East tensions roil oil markets

WTI dips below $83 despite huge inventory draw; Middle East tensions and options strategies signal rebound potential.

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