A reminder of some forecasts and important events in the financial market in the coming week. Indeed, fluctuations in financial markets are often affected by macroeconomic data and policy decisions.

Wednesday, June 12: The United States will release the unadjusted CPI annual and monthly rates for May, which is a key indicator of inflation and may have a greater impact on the market.

Thursday, June 13:

At 2:00 a.m., the Federal Reserve will announce its June interest rate decision, which is a closely watched event in the market because it will directly affect interest rates and monetary policy.

At 2:30 p.m., Federal Reserve Chairman Powell will hold a press conference, from which market participants will look for clues about future policy directions.

At 20:30 p.m., the U.S. initial jobless claims and PPI data will be released, which will provide further information on the job market and producer price levels.

Market forecast: It is expected that the market may continue to show a bearish trend and may fluctuate sharply next Wednesday.

Risk warning: The content of this article is for reference only and does not constitute any investment advice. Investors should fully understand the relevant risks and do a good job of risk control before making decisions.

Recommendation: Investors should pay close attention to these events and consider other factors that may affect the market, such as geopolitical events, company financial reports, etc. Investors are advised to allocate assets reasonably according to their investment strategies and risk tolerance.

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