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실시간 글로벌 금융 시장 뉴스 · 분석 · 인사이트
BREAKING주요 뉴스
China’s growing debt burden limits space for economic stimulus
Mounting interest payments restrict headroom to revive domestic demand, say experts...
US hits commercial tanker in Gulf of Oman as tensions flare
The ship tried to break through America’s naval blockade of Iranian ports, Central Command says of i...
Tanker Rates Soar to Record as Oil Crisis Becomes Shipping Crisis
The cost of shipping crude oil soared to record highs last month as the Iran war reshuffled trade ro...
Australian Dollar recovers despite Yen gains, Japan vows fiscal prudence
The Australian Dollar (AUD) bounces back strongly against the Japanese Yen (JPY) and flattens at around 109.80 during the European trading session on Monday.
Eurozone Sentix Investor Confidence drops to 2.7 in October
Eurozone’s Sentix Investor Confidence data, a key indicator of Investor morale, comes in lower at 2.7 in October from 5.1 in September.
NIU Q3 sales volume rises 15% to 537,457 units as international demand triples
EUR/GBP Price Forecast: Bears await break below 0.8450, YTD low amid French debt crisis
The EUR/GBP cross attracts sellers for the seventh straight day and drops back closer to the year-to-date low, around the 0.8460-0.8455 region, at the start of a new week.
Dow Jones futures slip as Middle East tensions offset Fed rate cut hopes
Dow Jones futures inch lower by 0.07% to trade near 51,440 during European hours on Monday. S&P 500 futures decline by 0.09% to trade around 7,770, while Nasdaq 100 futures remain steady near 31,070.
United Kingdom S&P Global Services PMI above expectations (51.7) in September: Actual (52.1)
United Kingdom S&P Global Composite PMI came in at 52, above forecasts (51.7) in September
Eurozone Sentix Investor Confidence dipped from previous 5.1 to 2.7 in October
President Donald Trump's Proposed $5,000 "Trump Dividend" Could Epically Backfire for 2 Key Reasons
History shows that Trump’s proposed payout would hinder, not help, the U.S. economy and stock market.
Gold: Recovery hinges on lower yields – OCBC
OCBC’s Christopher Wong notes that Gold’s brief post-payrolls rebound faded as long-end US yields stayed elevated and the Dollar remained firm. The bank argues that reduced Fed hike risk alone is insu ...
Saudi Aramco chief warns world’s oil stockpiles are ‘scarily thin’
Amin Nasser says inventories depleted by Middle East conflict could take up to two years to rebuild
Redwire wins follow-on contract for Axiom space module wings