Bitcoin has pulled back below 82,000, having lost over 6% since Friday, when a sell-off in stock markets dampened ...
OPEC output rose +320k bpd in February, pressuring oil prices as demand weakens and geopolitical risks keep market sentiment ...
With gold at record highs and silver breaking out, traders watch U.S. payrolls, Powell’s remarks, and ISM PMI for next market ...
Nikkei and ASX 200 tumble amid rising US tariff risks and inflation fears, while China’s PMI-driven optimism limits Hang Seng ...
German stocks fall on trade war worries, stagflation fears, and soft economic data. DAX outlook hinges on inflation, tariffs, ...
Gold shows strong bullish momentum as the US dollar remains under pressure.
Bearish sentiment, tariff clarity, and April seasonality could fuel a Nasdaq 100 rebound. Key tech stocks like Apple and Meta may benefit from rebalancing.
XRP and BTC fall under pressure amid trade tensions and inflation fears. XRP’s recovery may depend on SEC transparency and ...
The FP Markets Week-Ahead release highlights key macro drivers to be aware of for the upcoming trading week. Another month ...
Silver market stays bullish as gold hits records, inflation runs hot, and recession risks grow. Key support and upside ...
US indices are on edge. Tariffs, inflation, and defensive sector rotation dominate trader strategy in a high-uncertainty environment.
The U.S. dollar holds near key support as traders await ISM and NFP data. EUR/USD breakout and GBP/USD range in focus this week.