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Markets Update, 17 August

  Euro Falls as ECB Sees too Strong Euro for Comfort Stocks Drop, Bonds Gain. ECB Minutes Reveal Concerns About “Euro Overshooting” S&P Futures, Euro, Stocks Fall After Fed’s Low Inflation Warning.   The European Central Bank was worried in July that the euro might become too strong and decided against a change to its… Continue reading Markets Update, 17 August

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Daily Markets Update, 14 August

        Global Stocks Rebound Notably  as S Korea Fears Diminish. ViX, Havens Drop S&P Futures Point to Higher U.S. Opening European and Asian markets rise Gold, U.S. Treasury retreat     Solid Asian earnings and fading alarm over U.S.-North Korea conflict boosting markets world-wide. The risk-off mood that gripped markets last week… Continue reading Daily Markets Update, 14 August

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Markets Update, 21 July

      Global Shares Flat Bond Yields Decline as Euro Strengthens Increased hawkishness from the ECB helps the Euro rally     Bonds gained and the euro headed for its strongest level against the dollar since January 2015 on bets the European Central Bank will start tapering its stimulus program. European stocks fell as… Continue reading Markets Update, 21 July

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Daily Markets Update, 12 June

    Technology Stocks drag global shares Italian and French sovereign debt yields fall on improved political outlook European tech stocks caught in global sector sell-off, adding to pressure on indices Pound fails to hold $1.27 Yen and gold in demand as haven assets in demand Oil prices continue to rally. UK: Business optimism has plunged… Continue reading Daily Markets Update, 12 June

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Markets Update, 30 May

      Euro struggles to rally as dovish Draghi adds pressure for 4th session. Commodities slump drag US Stocks S&P 500 dips from record high and Amazon breaks $1,000 Brent crude weaker as WTI falls below $50 Gold down but yen gains amid cautious trading.     The S&P 500 Index edged lower from an… Continue reading Markets Update, 30 May

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Markets Update, 29 May

      Italian bank worries linger on Subdued holiday Markets onMonday Pound recovers some ground after polls´ hammering of Conservatives.   With markets in the U.K., U.S. and China all closed for public holidays, volumes were depressed across the board and most moves were muted. The pound posted the biggest gain among G-10 currencies,… Continue reading Markets Update, 29 May

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Markets Update, 18 April

    UK Pound recovers after May Announces General Election Markets Gain Volatility on U.K. Surprise, French Elections Chinese Stocks losses add more uncertainty    Global markets are feeling the pinch of volatility fueled by the uncertainty of the political and geopolitical scenarios that are undermining investors confidence. The UK prime minister May has recalled… Continue reading Markets Update, 18 April