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Browse our complete collection of financial news and analysis
Browse our complete collection of financial news and analysis
Browse our complete collection of financial news and analysis
The UK's 7.7% PPI surge reveals a massive inflationary wave building up in the supply chain, creating a major headache for the Bank of England (BoE) and signaling that consumer inflation is highly likely to reverse its downward trend very soon.
NVIDIA earnings and NDX short position create high-stakes volatility: will the market see a short-squeeze?
Traders are awaiting the April FOMC minutes for insight into whether persistent inflation and geopolitical risks have pushed Fed officials closer toward reconsidering rate hikes.
Gold prices face-planted as surging bond yields, a stronger US Dollar, and persistent inflation from the US-Iran conflict aggressively reasserted macro pressure.
NVIDIA has fallen on four of its last five revenue beats, a classic "sell-the-fact" pattern. Will this release be any different?
The March export decline in trade with the US follows a period of front-loading, where businesses rushed shipments to the U.S. ahead of anticipated tariffs, artificially inflating export numbers through much of last year.
The yen futures edged higher on the data, although the Japanese unit fell against the dollar in the cash market amid the broader dollar strength; But an economist braced for weaker growth ahead due to war impact.
With nearly 45% of current oil prices estimated to reflect geopolitical risk premium rather than underlying fundamentals, volatility is likely to remain the dominant market theme as conflicting signals continue to emerge around the status of diploma
As China April indicators weaken broadly, economists warn fading policy-driven demand and domestic sluggishness may prompt further government measures despite inflation concerns.
April industrial production beat expectations, led by transit equipment gains, while strong regional PMI data and inflation concerns push the Fed toward a potential tightening pivot.
The accelerating regional manufacturing growth comes against the backdrop of a surge in inflationary pressure, stoked by the oil shock triggered by the U.S.-Iran conflict.
Rising bond yields, a stronger dollar, and falling equity futures signal mounting market stress as entrenched inflation forces a rethink of Fed policy — with rate hikes back on the table.