Colombia Buys Dollars in Spot Market as Swap Payment Looms
Colombia buys dollars in the spot market to meet a looming swap payment, pushing USD/COP above 4,800 and reflecting heightened dollar demand…
Colombia buys dollars in the spot market to meet a looming swap payment, pushing USD/COP above 4,800 and reflecting heightened dollar demand…
Fed’s Mary Daly emphasizes action over words in policy statements, dulling market sensitivity to rhetorical nuances and reinforcing a wait-and-see stance on…
China warns of retaliatory action if US digital dollar corners global savings, intensifying CBDC rivalry and safe-haven demand.
Philippines CPI shock at 5.9% y/y triggers peso sell-off and rate-hike fears, denting equities and bonds across emerging markets.
Saudi PIF dollar bond sale after Iran war signals market normalization, adding supply to dollar debt and supporting risk assets as geopolitical…
Fed’s Collins dissent and impending Warsh transition inject policy uncertainty, nudging bond yields and the dollar lower while equity markets consolidate.
IEA chief warns Canada not to miss a ‘golden opportunity’ in energy, fueling bullish bets on oil, Canadian stocks, and the loonie.
Fed’s Collins backed FOMC dissenters, revealing policy wording rift without altering rate trajectory.
Trump rules out oil export curbs after US crude exports surge to a record 5.2 mb/d, pressuring WTI but lifting energy stocks…
Sabotage threats against Europe's power networks force a security overhaul, driving up costs and operational risk for the utilities sector.
ECB President Lagarde warns euro-stablecoins pose risks to banking and monetary policy, reigniting digital euro debate.
ECB's Schnabel flags rate-hike risk from energy costs, boosting EUR/USD 0.8% and sparking a selloff in DAX and bunds.