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US open: Stocks rise as bond yields hit monthly low


Stocks rise, tech leads as bond yields fall
US stocks are set for another fairly subdued start as US treasury bond yields continue to fall even as inflationary pressures appear to be building. Either way inflation remains the key focus for the weary market ahead of tomorrow’s US CPI data.
Yesterday’s JOLTs job openings revealed 9.3 million openings, up by 1 million highlighting an inability of firms to fill roles. With over 8 million fewer workers in the workforce than pre-pandemic companies may well need to start hiking wages into order to attract workers, pointing building inflationary pressures.
Chines CPI rose 1.3% YoY, this was up from 0.9% in April, although missed forecasts of 1.6%. PPI, however, surged to a 13 year high of 9% YoY in May, well up from 6.6% in April and ahead of forecasts. These price increases could potentially trickle out across the globe. ....

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GBP/USD to stay steady as vaccination continues, but covid variants pose downside risk – CIBC


GBP/USD to stay steady as vaccination continues, but covid variants pose downside risk – CIBCNEWS |
6/4/2021 9:08:59 AM GMT
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By FXStreet Insights Team
Vaccine rollout and re-openings should leave sterling steady as the spread of the Delta COVID-19 variant poses a downside risk, Jeremy Stretch, Head of G10 FX Strategy at CIBC Capital Markets, reports.
Expectations building towards the BoE concluding bond buying prior to the end of the year 
“The rapid UK vaccine rollout, with almost 50% of the adult population now fully vaccinated, will be central to our projection for strong consumer-led growth over the next 12 months. We agree with the view of the outgoing BoE Chief Economist that an atypical recession should result in an atypical recovery. That points towards an early reversal of ultra-easy monetary policy compared to that seen after the global financial crisis.”  ....

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GBP/USD Weekly Forecast: GBP/USD, EUR/GBP Reversal, Now What?


GBP/USD Weekly Forecast: GBP/USD, EUR/GBP Reversal, Now What?
2021-02-26 16:00:00
Justin McQueen,
Analyst
Positioning Clear Out Likely Entice Dip Buyers
BOND MARKET TANTRUM: Equity markets finally listen to the noise that the bond market have been making, however, the Fed are still not listening. Quite the move on as the US 10yr hit the milestone of yielding 1.50%, moving above the S&P 500 dividend yield of 1.48%. Subsequently, this places a TINA (There Is No Alternative) headwind for the stock market, which has up until now, enjoyed the low rate environment. The tech sector endured most of the selling pressure with the Nasdaq falling over 3%, particularly after the worst 7yr auction in history, which kickstarted a bid in the greenback and sent EM FX heavily lower. ....

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