FOMC Strategy Amid a Strong S&P 500 Rebound and Buoyant Dollar
We are heading into this week’s top event risk: the FOMC rate decision. The market consensus is for a fourth consecutive, 75 basis point rate hike; but that exceptional extension of a historical hawkish charge is likely baked in. So what should we focus on for this key event and what markets are most exposed?
from DailyFX - Market News https://ift.tt/grdVPip
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