One day, the splatter from this scandal may start to stick. So far, it has not hurt the euro or Mario Draghi, MPS’s regulator at the time of the problem trades.
One day, the splatter from this scandal may start to stick. So far, it has not hurt the euro or Mario Draghi, MPS’s regulator at the time of the problem trades.
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MS sees S&P 500 at 7800 by '26, citing 2+ rate cuts & 10% earnings growth. Risks: inflation forcing Fed hikes.
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IMF urges China to shift from exports to domestic growth; trade surplus hits $1T. Risks global trade tensions.
Gulf bonds snag $226B in 2025 debt issuance as Asian investors chase yield; IPOs slump.
Fed sees higher inflation & rates than expected post-election. Will cuts resume or policy tighten?
Silver rockets 25% since Nov to $62/oz on Fed rate cut hopes & EV demand. Tariffs loom, adding risk.
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