Hungarian Forint Close to Decade Low vs Dollar Amid Gas Line Issue
Hungary's pro-Russia move might gift the country with more enemies in the EU block.
Fed Rate Hike to Dampen Appeal of Euro Bonds, Says Moody's
With the Fed rate hike, diverging policy trends of major central banks could result in greater volatility.
Norwegian Krone Falls to Multi-Year Lows Against Pound, Dollar and Euro Amid Falling Oil Prices
At its 23 October policy meeting, Norges Bank said it was concerned over oil prices.
Hong Kong Dollar Recoups Protest Losses, Central Bank May Step in For Holding 7.7500
HK Dollar is back near 7.7500 against the US currency, triggering concerns of intervention by the HKMA.
EUR/CHF Near Floor Rate May Trigger SNB Move Amid Currency War Concerns
EUR/CHF has fallen to a 2-year low, raising concerns SNB might take fresh steps to weaken the franc.
Across the Board Yen Sell-Off and Dollar Rally Trigger Fears of Currency War
Market analysts have started calling the measures that led to the sharp yen selloff and the impact of the same on other currencies as a 'currency war'.
US Data Surprise Pushes Korean Won and Malaysian Ringgit Down to Nine-Month Lows Against Dollar
South Korean and Malaysian currencies fall to their lowest in nine months.
Caucasus and Central Asia's GDP Growth Seen Slower on Lower Remittances From Russia: IMF
Russia-Ukraine crisis and Western sanctions impact growth in Caucasus and Central Asia.
IMF Grants $5.4m Aid to Guinea-Bissau to Help Address BoP Crisis
Aid is equivalent to 25% of West African country's quota in IMF.
Asian PMI: Most Countries Show Weakening Trend in Manufacturing, India and Vietnam See Uptrend
Markit's manufacturing PMI for South Korea, Taiwan, Vietnam and Indonesia have declined while Chinese and Indian numbers edged higher.
Irish Manufacturing PMI Continues 17-Month Expansion
Ireland's manufacturing activity continued expansionary trend, Markit/Investec PMI showed.
Dollar Rallies to New Highs vs Majors and Gold Back Near Four-Year Low Ahead of PMI Numbers
US dollar index jumps to four-year high, while euro and yen hit new multi-year lows.
China's Manufacturing And Non-Manufacturing PMIs Show Mixed Signals
China's CFLP non-manufacturing PMI slipped in October while HSBC manufacturing PMI was up.
Central Banks Watch: ECB, BoE, RBA, Malaysia, Poland, Thailand and Romania to Set Rates, Poloz, Kuroda and Bernanke to Speak
Markets will be keen to watch the response world's response to the diverging policy rate indications from Fed and Bank of Japan.
Gold and Silver Plunge to Four-Year Lows as Fed, BoJ Moves Strengthen Dollar
Gold and silver fall to four-year lows as US dollar rallies and a surprise easing move by BoJ bolsters flows to riskier assets.
Yen Plummets to Near Seven-Year Low on Fresh BoJ Easing Steps; Euro and Pound Approaching New Lows
The BoJ says it will purchase more shares of ETFs and REITs and extends the duration of its portfolio of JGBs.
Moody's: India's Policy Changes 'Aim to Accelerate Growth and Ease Rating Constraints'
Higher investment and lower macro-economic imbalances could sustain growth rates of around 7.5% over the next 5-10 years.
Moody's: Rapid Growth of Offshore Renminbi Market Shows Acceptance of It as Fixed Income Asset
Offshore RMB bond issuance has hit record high of 451bn yuan in the first three quarters 2014, surpassing the 2013 full year issuance of 376bn yuan,
Thai Baht Slips to Three-Week Low After Fed Decision; Malaysian and Indian Currencies at Two-Week Lows
Asian currencies weaken as Fed's confidence triggers speculation that it would start hiking rates soon.
Moody's Assigns Indiabulls Real Estate '(P)B1' With Stable Outlook in First Rating
But the rating remains constrained by a relatively short track record of delivery and high financial leverage of the firm.
Belarus Must Tighten Belts as IMF says Outlook for External Aid Uncertain
Policies remain inconsistent in the east European country sharing its border with Russia and Ukraine.
Moody's Keeps Negative Outlook for Indian Banking System Citing Bad Corporate Loans
The Indian banking system is still weak due to its high leverage in the corporate sector, Moody's says.
Moody's: Global Debt Issuance Hit by Lower Asset Prices and Higher Volatility
Primary issuance markets hit by global economic uncertainty, especially US monetary policy.
Cyprus Sees Its Debt €1bn Lower as ECB Test Finds Country's Banks Well-Capitalised
Cypriot banks can use aid money as a capital buffer.
China Picks Singapore Dollar as Ninth Currency to Directly Trade Against Yuan
PBoC says move will strengthen economic relations between China and Singapore.
Risk Appetite Returns After ECB Stress Test; Dollar Down, Stocks Higher, Gold and Oil Steady
European banks' stress test results revealing little threat to banking system aid sentiment.
GCC Economies Best Performers, But Must Improve Policy Frameworks: IMF Chief Christine Lagarde
IMF says Gulf countries' oil sector will remain robust at 6% growth, but fiscal reforms are needed.
Central Banks Watch: All Eyes on Fed as Tapering Set to End; BoJ, RBNZ, Sweden, Brazil, Hungary, Israel and Mexico to Set Rates
US central bank scheduled to end its quantitative easing programme.
IMF Introduces 0.05% Interest Rate Floor For SDR Loans and Reserves
Fund also changes rounding convention for calculating SDR interest rate from two to three decimal places.
Pound Rises as UK Q3 GDP Data Meets Forecasts But Keeps Overall Downside Track
Pound rises after economic data supports sooner rate hike by BoE.