Philippines Downplays Stagflation Risk, Will Boost Spending
Philippines downplays stagflation fears and vows to boost spending, as data fuels concerns over growth and inflation, keeping the peso on the…
Philippines downplays stagflation fears and vows to boost spending, as data fuels concerns over growth and inflation, keeping the peso on the…
M&G’s Fedeli rebalances portfolio toward value stocks after tech’s rapid rally flags potential overvaluation.
Gold Fields’ arbitration with a Ghana contractor riles supply-side fears for its Tarkwa mine, pressuring GFI shares and lifting physical gold concerns.
ECB's Schnabel flags rate-hike risk from energy costs, boosting EUR/USD 0.8% and sparking a selloff in DAX and bunds.
Oil shock triggers Asian government interventions as crude prices spike, rattling equities, currencies, and stoking inflation fears across the region.
Australia highlights allied military readiness for regional security, but the general statement lacks market-moving details, leaving risk assets unmoved.
The article details how European chemical companies' early energy hedging and diversified supply chains give them a crucial edge over Asian competitors…
Iran seizes an oil tanker reportedly carrying its own crude, rattling energy markets and spurring flight-to-safety flows into gold and the US…
Trump greenlights US oil pipeline to rival Carney-backed Canadian plan, reshaping North American energy trade dynamics.
Russia’s budget gap hits an all-time high despite climbing oil revenues, pressuring the ruble, Russian equities, and emerging-market assets while supporting oil…
Fed custody data reveals a $15.2bn drop in foreign Treasury holdings, suggesting Japan sold US debt to finance yen intervention that knocked…
Ukraine’s overnight strike on two major Russian refineries lifts crude oil prices and reignites supply disruption fears across energy markets.