Nifty ended the week down 0.7% due to IT sector selling. Key factors to watch include the upcoming FOMC meeting, US market ...
Consumer sentiment fell to a more than two-year low and long-term inflation expectations jumped by the most since 1993, illustrating growing apprehension about the economic impact from tariffs.
Trump’s tariff strategy and Fed policies drive market uncertainty. Read why I stay bullish on US stocks and the S&P 500, ...
The Pound Sterling (GBP) almost tested the critical 1.3000 level against the US Dollar (USD) in the past week, driving the ...
In 2025, global markets are navigating a phase of economic uncertainty as potential inflationary pressures induced by trade tariffs, shifting ...
Market focus sharpens on BoJ forward guidance, US inflation, and trade policies. Will rate hikes or tariff risks influence ...
It saw GDP per capita rising from $2,514 in 2025 to $4,247 in the Bear scenario in 2035, $5,683 under the Base scenario and $6,706 under the Bull scenario.
Ethereum (ETH) has dropped 45% YTD, but historical trends and technical support suggest a potential bullish reversal toward $10,000 as Fed rate cuts loom.
India’s economic landscape is shifting as cooling inflation paves the way for a more accommodative monetary policy. With the ...
Reuters, the news and media division of Thomson Reuters, is the world’s largest multimedia news provider, reaching billions ...
The ASX 200, as well as other global markets are falling due to growing uncertainty over global trade, geopolitical ...
Dr Shane Oliver, Head of Investment Strategy and Chief Economist at AMP, discusses the share markets. The key points are: ...
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