For today, financial markets are expected to pay attention to several key factors:
European Inflation: The October CPI will be published in the European Union, with expectations of a rebound in the overall rate due to an adverse base effect, although core inflation continues a downward trend.
PCE Consumption Deflator in the U.S.: This indicator will be published at 13:30 and is expected to provide new signals of economic slowdown.
Exchange Rate Volatility: Markets will also be attentive to exchange rate volatility and the Argentine government's negotiations with the IMF to advance a program of extended facilities.
Is there any specific aspect of the market that interests you more?
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