United states

9 July 2026
EUR/CAD rebounds on German trade surplus as softer oil and Hormuz tensions weigh on loonie

EUR/CAD rebounds as strong German trade boosts euro; weaker oil and tensions support loonie, driving volatility.

9 July 2026
Energy Shock Spurs Hawkish ECB Repricing as Bund and OAT Yields Jump, Euro Edges Higher

Energy shock drives hawkish ECB repricing; gas surge lifts inflation fears, yields jump, euro rises, equities risk.

9 July 2026
OCBC sees US dollar rising 2–3% in second half of 2026 as oil and yields firm amid Middle East risks

OCBC sees USD up 2–3% in 2H26 on Middle East risks; >5% needs oil>$100 or overheating.

9 July 2026
Dollar slips despite Middle East strikes as traders eye Fed hawkish tilt and volatility hedges

Dollar weak despite Middle East escalation; markets eye Fed, data; favor VIX hedges, EUR/GBP calls, gold.

9 July 2026
EUR/JPY Extends Rally on Germany Trade Surplus, While Japan Intervention Risk Looms

EUR/JPY nears 185.70 as Germany’s trade surplus boosts euro, but Japan intervention risks cap gains.

9 July 2026
German Imports Tumble 2.5% in May, Deepening Concerns Over Demand and ECB Rate Cuts

German imports plunged 2.5% in May, signaling weakening demand and boosting bets on euro, equities downside.

9 July 2026
EUR/USD Under Pressure as Fed–ECB Policy Gap Widens, Options Skew Signals Further Downside

EUR/USD stalls near 1.0750 as Fed stays hawkish, ECB pauses; options and charts favour downside risk.

9 July 2026
Sterling Hits One-Year High Versus Euro as BoE Hike Bets Outpace ECB Hawkish Shift

Sterling’s rally drags EUR/GBP to one-year low as BoE hike odds surge; ECB hawkishness muted.

9 July 2026
EUR/USD Holds Above 1.1400 as US-Iran Tensions Lift Oil and Bolster Fed Hike Bets

EUR/USD steadied above 1.1400 as US-Iran tensions lifted oil, inflation fears, and Fed hike expectations.

8 July 2026
Rabobank Sees Sterling Support from Sticky Inflation, but Politics and Debt Could Lift EUR/GBP to 0.87

Sterling’s strength rests on sticky inflation and M&A, but politics, debt, and weak growth threaten losses.

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