Monday Markets Blues
Can the cause sometimes take place after the effect? This is what looks to be the case this week. The USD surged to 2001 and has been bought and fixed income sold on ideas that the Fed had taken a hawkish turn, with investors searching for safety. The hikes will be front-loaded with the next 50 bp hikes discounted for the next two meetings (June and July) and a strong leaning for the same in September (~66%). Yields 10-year is up 1.0 bp at 3.14%. Stock markets are broadly lower, with Japanese markets underperforming and the Nikkei down -2.5%. Tighter Covid lockdowns in Beijing and Shanghai raised pressure on its economy, while China reported faster-than-expected growth in exports for April, while imports were flat.
Meanwhile in the market, speculation that President Putin might declare war on e in order to call up reserves during his speech at "Victory Day" celebrations could further hurt market sentiment.
The week ahead is important because it may show the first signs that peak inflation is at hand.
Biggest FX Mover @ (06:30 GMT) USOIL (-2.17%) drifted to S1 at 108.15 in the EU open. MAs & Stochastics bearishly crossed, and RSI is at 41 sloping lower. H1 ATR 0.91, Daily ATR 4.43.
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Andria Pichidi
Market Analyst
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