Dagangan produk kewangan merupakan perkara yang rumit dan melibatkan risiko tinggi terhadap kerugian kewangan dengan pantas kerana volatiliti pasaran. Sila pastikan anda memahami sepenuhnya risiko yang terlibat dan menyemak Pendedahan Risiko yang berkaitan sebelum berdagang.

Dagangan produk kewangan merupakan perkara yang rumit dan melibatkan risiko tinggi terhadap kerugian kewangan dengan pantas kerana volatiliti pasaran. Sila pastikan anda memahami sepenuhnya risiko yang terlibat dan menyemak Pendedahan Risiko yang berkaitan sebelum berdagang.

Dagangan produk kewangan merupakan perkara yang rumit dan melibatkan risiko tinggi terhadap kerugian kewangan dengan pantas kerana volatiliti pasaran. Sila pastikan anda memahami sepenuhnya risiko yang terlibat dan menyemak Pendedahan Risiko yang berkaitan sebelum berdagang.

Gambaran kasar pasaran

Equity indices come under pressure amid a surge in energy prices

2026.09.11
The US equities extended their downward trajectory as the spike in energy prices pushed Treasury yields higher and intensified pressure on corporate profitability. By the end of Wednesday’s session, t...
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Brent crude reaches $101 per barrel. Eurozone bond markets come under heavy pressure

2026.09.10
The US equities ended Wednesday in the red, pressured by rising Treasury yields and escalating geopolitical risks. By the end of the session, the Dow Jones (US30) fell 0.77%, the S&P 500 (US500) decli...
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The ongoing oil rally fuels new inflation fears

2026.09.09
In Europe, Tuesday’s session ended mixed: Germany’s DAX (DE40) closed flat, France’s CAC 40 (FR40) rose 0.14%, Spain’s IBEX 35 (ES35) slipped 0.12%, and the UK’s FTSE 100 (UK100) fell 0.09%. European...
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China’s trade balance shows a record surplus. Switzerland’s labor market demonstrates resilience

2026.09.08
The stability of Switzerland’s labor market, against the backdrop of slowing dynamics in other European economies, underscores the high resilience of the country’s economic model. Unemployment holding...
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A strong US labor market report has revived concerns about a renewed “hawkish” Fed stance

2026.09.07
The US equity market ended Friday’s session mixed following the release of a strong labor market report, which cooled investors’ hopes for a dovish pause from the Federal Reserve. By the end of the da...
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Peristiwa utama minggu ini (September 07 - September 11)

2026.09.07
The main narrative this week is inflation, central bank rhetoric and geopolitical tensions in the Persian Gulf
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The economies of Malaysia, Switzerland, and Australia are showing confident growth

2026.09.04
Bank Negara Malaysia (BNM) reaffirmed its commitment to a neutral stance, leaving the key rate at 2.75% following its September meeting. This decision matched market consensus and marked the seventh c...
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The Bank of Canada left the key interest rate unchanged. Oil prices continue to rise amid escalation

2026.09.03
The Bank of Canada (BoC) left the key interest rate unchanged at 2.25%, as expected (the pause continues for the seventh consecutive meeting). The regulator adopted a more hawkish stance, emphasizing...
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The global bond‑market selloff deepens amid rising expectations of interest‑rate hikes

2026.09.02
The US equities began September with a notable decline under pressure from rising bond yields and geopolitical tensions. Investors continue to assess the risks of accelerating inflation due to expensi...
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Bond yields in European countries have renewed multi‑year highs. Crude oil prices jumped again amid escalation

2026.09.01
Crude oil prices (WTI) rose above $85 per barrel on Monday amid a sharp escalation of tensions in the Middle East, where the US and Iran resumed direct military exchanges for the first time in recent...
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