Trump’s Tariffs Will Keep Fueling Trade Debates and Disputes
Trump’s tariffs sustain trade tensions, spurring safe-haven demand and weighing on risk-sensitive assets like stocks and commodity currencies.
Trump’s tariffs sustain trade tensions, spurring safe-haven demand and weighing on risk-sensitive assets like stocks and commodity currencies.
Federal Reserve calls private credit redemption risks manageable, easing concerns over the $1.7 trillion market.
Fed’s Goolsbee keeps all rate options open, leaving stocks lower and Treasuries steady as traders brace for a data-dependent policy path.
Anahata CIO projects NZD strength, citing RBNZ’s excessively accommodative policy as a catalyst for upside repricing.
European earnings beats offset by guidance cuts and analyst downgrades point to a bearish shift for STOXX 600 as tariffs, euro strength,…
EU trade deal collapse risks US auto tariffs, pressuring the euro and European equities as markets brace for renewed trade war flare-up.
Norway's first rate hike since 2023 strengthens the krone, dropping EUR/NOK to 11.50 as Norges Bank leads Europe's tightening cycle.
Jet fuel shortage fears ahead of European summer holidays risk higher travel costs and airline margin pressure, sparking volatility in oil and…
Maersk CEO sees passing higher oil shock costs to customers as crude prices surge, signaling rising shipping surcharges, inflationary pressure, and resilience…
Iran war-induced fuel cost surges and travel disruptions rock global businesses; oil and gold rally while equities slump amid stagflation fears.
China's clampdown on Iran oil finance lifts crude prices and signals a trade détente ahead of Trump-Xi talks, reshaping energy and risk…
FDA gridlock clouds drug approval timelines, pressuring healthcare stocks and ETFs like XLV and IBB.