At 1000GMT, the NFIB Small Business Optimism Index will cross the wire.
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1 A Eurex publication focused on European financial markets, produced by MNl Morning Briefing June 13th 2017 Its a busy day Tuesday, with a heavy data calendar on both sides of the Atlantic. The European calendar kicks off at 0530GMT, with the release of the French non-farm payroll data. At 0600GMT, German wholesale prices data will be released, followed by the Spanish final inflation data at 0700GMT. At 071GMT, ECB Gov. Council member Jens Weidmann speaks at the International Conference G20 Africa Partnership - Investing in a Common Future, in Berlin. UK data gets underway at 0830GMT, with the release of the May consumer and producer inflation data. The ONS house price index is set for release at the same time. At 0900GMT, the ZEW survey will cross the wires. ECB Executive Board member Sabine Lautenschlaeger participates on a panel "Regulation" at 2017 International Monetary Conference, in London, at the same time. At 1000GMT, the NFIB Small Business Optimism Index will cross the wire. The main US data release is expected at 1230GMT with the release of the May PPI data. Final demand PPI is expected to hold steady in May after a 0.5% surge in April. Food and energy prices are expected to be more modest after decent April gains, though falling gasoline prices provides some downside risk. Excluding food and energy prices, PPI is forecast to rise 0.2% after a stronger than expected 0.4% gain in April. The result should be a pause in the upward movement in the year/year rates. The latest Redbook Retail Sales Index will cross the wires at 1255GMT. At 1400GMT, Treasury Secretary Steven Mnuchin will testify on the budget before the Senate Budget Committee in Washington. Chairman of the Senate Banking Committee Mike Crapo to be the keynote speaker at the Sifma Prudential Regulation Conference in Washington, starting at 1545GMT... Global Economic Trading Calendar
2 Markets US STOCKS CLOSE: U.S. stocks edged lower on the day, weighed yet again by selling in the tech sector. - The S&P 500 closed down 0.10% at 2,429.39, after trading in a 2, to 2, range. At the close, the index was down 0.7% from the lifetime high of 2, posted June 9 and up 8.5% on the year. - Analysts have been penciling in a move towards 2,500 in coming sessions and would rethink this view only on a clear-cut move below 2,400. US STOCKS: US Index futures are trading higher Tuesday. CME-traded S&P mini futures are up 3 points at , with the Nasdaq mini higher by 10.5 points at FOREX: The Canadian dollar took centre stage in the Asia-Pacific region today. Hawkish rhetoric yesterday from Bank of Canada's Wilkins, who said, "As growth continues and, ideally, broadens further, Governing Council will be assessing whether all of the considerable monetary policy stimulus presently in place is still required", the Canadian dollar move sharply higher against the US dollar and the move continued into Asia, the loonie rising from C$ to $ and was last at C$ Dollar-yen largely consolidated around Y and held a narrow Y to Y range. Aussie edged higher from $ to $ on predominantly cross demand, last at $ Meanwhile, Euro-dollar was last at $ and Cable at $1.2649, after trading in respective ranges of $ to $ and $ to $ US TSYS: UST futures are little changed in Asian trade, with the 10- yr note last trading just half a tick higher at /32. Volumes are modest, with 33,000 lot traded. US TSYS: Cash USTs are trading very modestly higher in a lacklustre Asian session. The yield on the benchmark 2Y was last at 1.355%, with the 10Y at 2.211% and the Bond at 2.87%. Volumes were seen light across the board, with some real money buying in the belly of the curve. JGBs: he results of the new 20-year Japanese government bond auction Tuesday were better than expected and September 10-year bond futures rose immediately after the results, but the gain was quickly erased by profit-taking September bond futures rose to after the results from traded before the results, but futures slipped to At midday, the September bond futures contract closed flat from Monday's close of The tail stemming from the gap between the average and accepted lowest prices narrowed to 0.05 from 0.09 at the previous auction in May. The Ministry of Finance sold Y903.0 billion of the 20-year bonds, with the lowest accepted price of , higher than expected by market players. The new issue carries a coupon of 0.6%, 10 basis points lower than that for the current 20-year bonds. Bids totaled Y trillion, making the bid-to-cover ratio 3.98, up from 3.84 at the previous similar auction in May.
3 Technical Analysis BUND: (U17) Bulls Need Close Above *RES 4: Monthly High Apr 18 *RES 3: Bollinger band top *RES 2: High Apr 20 *RES 1: High June 8 *PREVIOUS CLOSE: *SUP 1: Low June 9 *SUP 2: Low June 8 *SUP 3: Low June 5 *SUP 4: Low June *COMMENTARY: Topside hesitation ahead of the resistance remains an issue for bulls with daily studies looking to correct from O/B and daily momentum divergence also previously noted. Bears continue to look for a close below to shift immediate focus back to where key MAs and the bull channel base are situated. Bulls continue to look for a close above to maintain the bullish bias and immediate focus on tests of EUROSTOXX50: Bears Focused On *RES 4: Daily Bear channel top *RES 3: Hourly resistance June 9 *RES 2: DMA *RES 1: Hourly resistance June 12 *PREVIOUS CLOSE: *SUP 1: Bollinger band base *SUP 2: Low May 18 *SUP 3: Monthly High Nov now support *SUP 4: High Apr 3 now support *COMMENTARY: The most recent rejection above the 21-DMA has resulted in a marginal close below the 55-DMA ( ) that sees bears focused on Bears now look for a close below to shift immediate focus to the 100-DMA ( ). Layers of resistance remain with bulls now needing a close above to gain breathing room and above to shift focus back to tests of 2017 highs.
4 Eurex Futures Market Close
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