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Investment Bank Outlook

Institutional Inights: JPMorgan EURUSD Trading Desk View

JPMorgan EURUSD Trading Desk ViewThe price action in FX markets remains insightful, albeit challenging. Each time it seems we might revert to established ranges, uncertainty persists. Starting this...

Institutional Insights: Deutsche Bank - Investor Flows & Positioning 02/06/25

Stuck In The MiddleFollowing a significant climb tied to the US-China trade deal, equity positioning has largely plateaued and remains moderately underweight (z-score: -0.45, 23rd percentile)....

Institutional Insights: Goldman Sachs -Gold and Oil in Long-Run Portfolios

The Strategic Case for Gold and Oil in Long-Run PortfoliosFollowing the recent failure of US bonds to protect against equity downside and the rapid rise in US borrowing costs, investors seek...

Institutional insights: Goldman Sachs FX Morning Notes

GS FX Morning Notes: Was It All a Bad Dream? Not Quite.Research | Economics | JUST NOWTariff Court Ruling: The recent ruling by the Court of International Trade to block the majority of tariff hikes...

Institutional Insights: Morgan Stanley G10 FX Strategy

G10 FX Strategy | Global A Shift Back to Higher Short USD PositioningKey Takeaways: Options pricing data reveals that investors have increased long positions in EUR and reduced short positions in NZD,...

Institutional Insights: Goldman Sachs SP500 Positioning & Key Levels 28/05/25

US Equity Positioning and Key LevelsFICC and Equities27 May 2025 | Consolidated Recap of GS Positioning MetricsSummary:CTA Corner:CTAs are predominantly sellers across most markets outside the US. Buy...

Institutional Insights: Credit Agricole Month End Model

Our FX month-end rebalancing model indicates that portfolio-rebalancing flows are likely to result in moderate USD selling across the board, with the strongest sell signal observed for USD against...

Institutional Insights: Credit Agricole FX Weekly 23/05/25

Stagflation hedgesUS President Donald Trump’s inconsistent stance on tariffs heightened FX volatility in Q2, prompting us to further lower our USD forecasts. We have adjusted our EUR/USD projections...

Institutional Insights: Nomura Cross-Asset: LONG-END AND USD BLEEDING EQUITIES JOY

Nomura Cross-Asset: LONG-END AND USD BLEEDING EQUITIES JOYMacroeconomic dysfunction re-emerged as the U.S. equities narrative on the "right side" of the distribution gained momentum, with...