Philippine bonds rebound inflation risks
Philippine bonds rebound inflation risks as part of emerging Asia’s strongest rally, though higher inflation and a potentially hawkish central bank may cap the
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Philippine bonds rebound inflation risks as part of emerging Asia’s strongest rally, though higher inflation and a potentially hawkish central bank may cap the
Citi rate hike forecast revise signals India may slow or pause the two-hike path through March next year as an interim US-Iran peace deal eases oil-price
The focus is on inflation risk rising yields, which underscores that higher Japanese bond yields may reflect mounting inflation concerns alongside policy
Gold prices slip peace talks stalled as investors weigh inflation risks, a firmer dollar, and oil prices amid ongoing US-Iran tensions. Updates as details
Inflation from middle east disruptions could persist in India if ongoing supply disruptions and higher energy costs from the region weigh on prices, given the
A prominent Indian bond fund manager argues the inflation risk overpricing opportunity is creating a buying opportunity in India’s fixed-income space as yields
Thai sovereign bonds under pressure inflation risk fiscal strain as rising inflation and governance concerns weigh on yields, currency, and investor confidence
The Iran inflation threat wave inflation globalization highlights how Iran-related tensions could raise energy prices, disrupt currencies, and amplify
The Japanese stock market surge was driven by positive investor sentiment following Prime Minister Sanae Takaichi’s snap election announcement, though concerns
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