US CPI - Long Term Fed Implications
How will the Fed view the latest data and is the market fully appreciating how long ‘higher for longer’ actually means?
ACY Securities
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966 दिनों पहले
How will the Fed view the latest data and is the market fully appreciating how long ‘higher for longer’ actually means?
This content may have been written by a third party. ACY makes no representation or warranty and assumes no liability as to the accuracy or completeness of the information provided, nor any loss arising from any investment based on a recommendation, forecast or other information supplied by any third-party. This content is information only, and does not constitute financial, investment or other advice on which you can rely.
ACY Securities
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Silver Tests Its 200-Day Moving Average for the First Time in a Year
The coming sessions may therefore define silver's medium-term direction. Holding above the 200-day moving average would reinforce the longer-term bullish structure, whilst a sustained move below it would signal that sellers have regained control and could open the door to a deeper correction.
Headway
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ECB vs BoC: Central Bank Divergence Takes Centre Stage
Two major central banks are heading in opposite directions. The ECB is poised to hike rates as eurozone inflation accelerates to 3.2% and second-round effects emerge, while the Bank of Canada holds at 2.25% as Canada navigates a technical recession and fragile recovery. This policy divergence is set to remain a key driver for EUR/CAD throughout the second half of 2026, with traders closely watchin
ActivTrades
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Oil Surges, Dollar Holds Firm as Middle East Tensions Escalate | 8th June, 2026
Global markets turned defensive as escalating Middle East tensions boosted safe-haven demand for the US Dollar and lifted oil prices. The Canadian Dollar weakened despite stronger crude, Silver came under pressure from Fed hike expectations, and the Euro found support from ECB tightening bets as investors monitored geopolitical risks.
Moneta Markets
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NFP Surprise Boosts the Dollar
NFP smashes estimates at 172K vs 85K expected — DXY breaks above 100, gold drops 2% to $4,350, USD/JPY clears 160.00. Fed hike probability jumps to 52% on Kalshi. WTI recovers losses after Iran fires missiles at Israel. OPEC+ raises July quota by 188K bpd. US CPI and PPI the next key catalysts this week.
CPT Markets
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Dollar rallies, stocks tumble as NFP report fuels Fed hike bets
Strong US jobs data boost dollar and Fed hike expectations - Rising Middle East tensions push oil prices higher - Gold falls as rising yields and strong dollar reduce its appeal - Wall Street tumbles, led by tech and AI stocks
XM Group
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USDX Firm Amid Strong US Data and Middle East Tensions
US economic releases and renewed Israel-Iran strikes support USDX near-term, with policy expectations and geopolitical risk guiding the market.
VT Markets
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Will Bitcoin’s historical support hold?
Bitcoin rebounded after falling below $60K and the 200-week moving average, but record outflows from ETFs and a slump in sentiment suggest the market remains under significant pressure.
FxPro
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Bitcoin’s Biggest Test Since Halving: Is the 4-Year Cycle Playing Out as Expected?
Bitcoin is facing its most important post-Halving test as leverage liquidations, ETF outflows, and pressure on Bitcoin Treasury Companies challenge the strength of the traditional 4-year cycle.
IUX
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