Week's main events (July 6 – July 10)
This week, investors’ attention will be focused on the monetary policies of major central banks and macroeconomic indicators. The spotlight will be on the release of the minutes from the US Federal Reserve’s June meeting, which will help shed light on the disagreements within the Federal Open Market Committee regarding the future path of interest rates.
The Eurozone has shown a significant slowdown in inflation. Australia has recorded its largest trade
By the end of the day, the Dow Jones Index (US30) fell by 0.03%. The S&P 500 Index (US500) declined by 0.22%. The Technology‑heavy NASDAQ Index (US100) closed lower by 1.54%.
Week's main events (June 29 – July 03)
New reports of U.S. strikes near the Strait of Hormuz radically change the market landscape and threaten the fragile ceasefire, inevitably restoring a high geopolitical risk premium across global markets.
Week's main events (June 08 – June 12)
Global markets are heading into a highly volatile week, shaped by geopolitical signals from the Middle East and a dense macro data calendar.