Australian Markets Resilient Amid RBA Monetary Tightening as Financial and Real Estate Assets Rise
Australian markets stay strong despite RBA rate hikes, with equities and real estate rising, but inflation and tightening pose future risks.
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Australian markets stay strong despite RBA rate hikes, with equities and real estate rising, but inflation and tightening pose future risks.
Yuan hits 34-month high, Shanghai and Hong Kong stocks rise, 10-year bond yields fall to 1.80% amid improved sentiment and asset rebalancing.
Oil tanker rates to China hit $126,000/day, highest in 2+ months, amid Iran tensions and vessel shortages, raising shipping and energy costs.
China and Hong Kong stocks rebounded on improved risk appetite, strong US data, and easing metals volatility, but caution remains over new taxes.
Global stocks plunge, bonds roil, and gold tops $4,700 as US-Europe Greenland tensions and Japanese bond turmoil spark market selloff.
EU and Mercosur signed a €111B free trade deal after 25 years, cutting tariffs and boosting trade, pending ratification amid key challenges.
Egypt's FRA grants the first license for equity derivatives futures trading, marking a major step in Egypt's capital market development.
Foreign inflows of C$16.3B into Canadian bonds boost S&P/TSX Index, while equities see outflows, led by energy and mining sectors.
US-Taiwan deal cuts tariffs to 15%, boosts US chip investments by $500B, and eases trade for tech, auto, and pharma sectors.
Jordan's industrial output rose 1.38% in Nov 2025, led by mining gains, while manufacturing growth slowed and utilities output declined.
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