Ahead of Wednesday’s press conference following the latest Federal Open Market Committee (FOMC) meeting, markets anticipated a hawkish response due to recent higher-than-expected inflation figures.
Continue readingWeek in Review: Elevated U.S. CPI and Escalating Debt Levels in China
U.S. stock markets saw a decline for the week due to increased concerns about conflict in the Middle East and ongoing inflation worries, leading to higher long-term Treasury yields.
Continue readingWeek in Review: US Growth and Inflation
The Commerce Department’s advanced GDP print released on Thursday showed the U.S. economy grew 1.6% in the January-through-March period (Q1) of 2024…
Continue readingWeek in Review: Higher-for-Longer U.S. Interest Rates
Tensions in the Middle East and the possibility of U.S. interest rates remaining “higher for longer” weigh on sentiment.
Continue readingWeek in Review: Elevated U.S. CPI and Escalating Debt Levels in China
U.S. stock markets saw a decline for the week due to increased concerns about conflict in the Middle East and ongoing inflation worries, leading to higher long-term Treasury yields.
Continue readingWeek in Review: Central banks take centre stage
All three major U.S. indices moved higher this week, with the S&P 500 gaining 2.3%.
Continue readingWeek in Review: Markets Await Central Bank Decisions
Financial markets got off to a quiet start this week, as investors awaited the release of the U.S. consumer inflation data on Tuesday.
Continue readingWeek in Review: The S&P 500 Reaches 5,000
The S&P 500 breaks through 5,000, after its 20 percent surge since November.
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