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Month-End US Pension Rebalancing: $14bn Equity Sell / Bond BuyThe month-end pension rebalance adds a modest but real supply risk into an otherwise constructive equity tape. The desk’s model estimates $14bn of US equities to sell from US pensions into month-end, wit...
Month-End US Pension Rebalancing: $14bn Equity Sell / Bond BuyThe month-end pension rebalance adds a modest but real supply risk into an otherwise con
Title: XAUUSD H1 | Bearish reversal off key resistance Type: Bearish reversal Preference: The price has rejected off the pivot at 4,500.65, an overlap resistance that aligns with the 61.8% Fibonacci retracement. A drop from this level could lead the price toward th...
Title: XAUUSD H1 | Bearish reversal off key resistance Type: Bearish reversal Preference: The price has rejected off the pivot at 4,500.65, an overlap
S&P500 Daily Action Areas & Price Targets 29/5/26***QUOTING ES1! FOR CASH US500 EQUIVALENT LEVELS, SUBTRACT POINT DIFFERENCE***WEEKLY BULL BEAR ZONE 7490/80WEEKLY RANGE RES 7590 SUP 7391June MOPEX Straddle: 274pt range implies a OPEX to OPEX range of [7134,...
S&P500 Daily Action Areas & Price Targets 29/5/26***QUOTING ES1! FOR CASH US500 EQUIVALENT LEVELS, SUBTRACT POINT DIFFERENCE***WEEKLY BULL BEA
Stocks Ending Week HigherUS stocks are ending the week firmly higher with the market buoyed by news of the 60-day ceasefire extension between the US and Iran and the weaker-than-forecast core PCE data we saw yesterday. Earlier in the week we seen volatility across ...
Stocks Ending Week HigherUS stocks are ending the week firmly higher with the market buoyed by news of the 60-day ceasefire extension between the US a
Title: USDCAD H4 | Potential bearish drop Type: Bearish reversal Preference: The price could rise towards the pivot at 1.3816, a pullback resistance. A reversal from this level could lead the price toward the 1st support at 1.3737, a pullback support that is slight...
Title: USDCAD H4 | Potential bearish drop Type: Bearish reversal Preference: The price could rise towards the pivot at 1.3816, a pullback resistance.
Weaker Inflation DataThe US Dollar has reversed sharply from yesterday’s highs, weighed on by softer US data and news of a ceasefire extension between the US and Iran. On the data front, core PCE yesterday came in at 0.2% month over month, below the prior and expec...
Weaker Inflation DataThe US Dollar has reversed sharply from yesterday’s highs, weighed on by softer US data and news of a ceasefire extension between
Title: GBPJPY H1 | Bullish bounce off pullback support Type: Bullish bounce Preference: The price is falling towards the pivot at 213.79, a pullback support. A bounce at this level could lead the price toward the 1st resistance at 214.66, a swing high resistance. A...
Title: GBPJPY H1 | Bullish bounce off pullback support Type: Bullish bounce Preference: The price is falling towards the pivot at 213.79, a pullback s
Title: GBPUSD H1 | Bullish bounce off Type: Bullish bounce Preference: The price is falling toward the pivot at 1.3435, an overlap support that is slightly above the 23.6% Fibonacci retracement. A bounce from this level could lead the price toward the 1st resistan...
Title: GBPUSD H1 | Bullish bounce off Type: Bullish bounce Preference: The price is falling toward the pivot at 1.3435, an overlap support that is sl
JPM G10 FX Daily29 May 2026## EUR: Deal Hope, Month-End Noise, and Not Much ConvictionGoing into the weekend hopeful of a deal — pretty sure that could have been written last Friday too.Yesterday’s open was shrugged off as expected, then more positive Iran headline...
JPM G10 FX Daily29 May 2026## EUR: Deal Hope, Month-End Noise, and Not Much ConvictionGoing into the weekend hopeful of a deal — pretty sure that coul
Daily Market Outlook, May 29, 2026 Patrick Munnelly, Partner: Market Strategy, Tickmill GroupMunnelly’s Macro Minute — Record Stocks, Fragile SpendingGlobal equities are ending the week at fresh highs as the market embraces a tentative US-Iran ceasefire deal and an...
Daily Market Outlook, May 29, 2026 Patrick Munnelly, Partner: Market Strategy, Tickmill GroupMunnelly’s Macro Minute — Record Stocks, Fragile Spending