市场在全球经济不确定性中观察贸易新闻、通货膨胀和销售数据。
Markets watch trade news, inflation, and sales data amid global economic uncertainties.
未来一周的金融市场将聚焦于贸易新闻、美国通货膨胀数据和零售销售数字。
The coming week in financial markets will center on trade news, U.S. inflation data, and retail sales figures.
主要发布内容包括美国通货膨胀和零售销售数据、密歇根大学消费者调查,以及英国和欧元区的GDP数据。
Key releases include U.S. inflation and retail sales data, the University of Michigan's consumer survey, and GDP data from the UK and eurozone.
新加坡将释放四月的非石油国内出口品,预期由于高基效应和关税,这些出口品将出现收缩。
Singapore will release April non-oil domestic exports, expected to show a contraction due to high base effects and tariffs.
墨西哥中央银行预计将削减利率50个基点。
Mexico's central bank is anticipated to cut rates by 50 basis points.
投资者将监测这些发展情况,以衡量贸易不确定性对全球经济的影响。
Investors will monitor these developments to gauge the impact of trade uncertainties on global economies.