Trending in Finance
All Finance Stories
-
Poland's Finance Minister Addresses Cash Stockpiling Amid Digital Risks
Amidst rising concerns over digital payment failures and cyberattacks, Poland's Finance Minister comments on the nation's inclination towards holding physical cash savings.
-
Crude Oil Traders Dismiss $160 WTI Amid Geopolitical Calm
Despite US-Iran tensions, traders are pricing in near-zero probability of WTI Crude Oil reaching $160 this month, citing a lack of speculative interest and no significant OPEC+ signals.
-
Bank of England Probes AI's Financial System Risks
The Bank of England is actively testing artificial intelligence risks to the financial system through scenario analysis and simulations, countering claims of a passive approach.
-
ECB Holds Rates Steady: Lagarde Warns of 'Layer Cake of Shocks'
The European Central Bank keeps interest rates unchanged, citing compounded global economic risks. Market awaits April decision with low expectations for a significant rate cut.
-
Merz Explores US Role in Europe Amid Static ECB Rate Cut Bets
Friedrich Merz hints at US involvement in Europe. Market remains unchanged on ECB rate cut expectations as ECB officials emphasize inflation management.
-
Barry Eichengreen: US Dollar Decline, Central Bank Diversification, and DeFi Yield Lag
Economist Barry Eichengreen discusses early signs of US dollar decline, central banks shifting from Treasuries, and DeFi yields underperforming institutional returns.
-
JP Morgan Adjusts ECB Rate Hike Forecast to Mid-2026
JP Morgan now anticipates the European Central Bank will implement two rate hikes in June and September 2026, shifting from previous April and July projections.
-
Indonesia Doubles Capital Requirements for Securities Firms and Asset Managers
Indonesia's financial regulator is doubling capital requirements for securities firms and asset managers to enhance market transparency and reduce manipulation risks.