Markets

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
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
WTI Holds Near $90 as Middle East Tensions Trump OPEC+ Output Rise, Fuel Volatility

WTI near $90 as Israel-Iran tensions, Houthi threats and Hormuz risk boost volatility; OPEC+ hike ignored.

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
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
Equities Rebound as Israel–Iran Tensions Ease, Tech Leads and Volatility Retreats

Markets rebound as Israel–Iran tensions ease; tech leads recovery, VIX retreats, and traders favor risk-on strategies.

9 June 2026
Eurozone GDP dip seen as Ireland-driven as resilience data supports firmer ECB rate outlook

Eurozone GDP dip driven by Ireland; ex-Ireland growth solid, PMIs improving, inflation persistent, ECB hawkish, rates underpriced.

9 June 2026
Norway May CPI in spotlight as Norges Bank surprise hike keeps further tightening in play

Norway’s CPI may pressure Norges Bank toward another hike, boosting krone crosses amid strong energy prices.

9 June 2026
RBI and tax changes spark inflow hopes; MUFG sees USD/INR dipping before rebound

RBI and tax changes aim to boost inflows, strengthening rupee near-term; MUFG sees USD/INR 94 then 96.

9 June 2026
USD/JPY steadies near 160 as Middle East calm and intervention fears counter US yield support

USD/JPY steadies near 160 as Middle East headlines, intervention risk, and options strategies drive heightened volatility.

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