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The USD closed last week mixed. Economists at TD Securities analyze the greenback’s outlook.
The setup for H2 will hinge on a few fluid narratives that have played out through H1. The major questions are about the impact of good news. Is good news good for markets or bad for markets? Put another way, should we cheer on positive data surprises or worry about them? We think the former, suggesting that good growth news should be welcome, especially if it dovetails with continued disinflation.
This week's US inflation release will set the tone. We're below consensus, looking for a 0.2% MoM print that should reinforce that disinflation plus positive growth news is bad for the USD and good for risk.
风险提示:本文所述仅代表作者个人观点,不代表 Followme 的官方立场。Followme 不对内容的准确性、完整性或可靠性作出任何保证,对于基于该内容所采取的任何行为,不承担任何责任,除非另有书面明确说明。

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