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Overseas Headlines – September 1, 2026

September 1, 2026

United States:  

Bond Slide Spreads to Emerging Markets on Fed Rate-Hike Bets

A global bond selloff spread to emerging markets as investors dumped the riskier debt on expectations that the Federal Reserve will increase US interest rates later this month.

Ten-year government bond yields rose from South Africa to South Korea and Poland as money markets indicated an almost 70% chance of a 25 basis-point increase in Fed’s benchmark rates on Sept. 16.

https://www.bloomberg.com/news/articles/2026-09-01/bond-slide-grips-emerging-markets-as-fed-risk-drags-sentiment

 

Europe:

ECB’s Nagel Says Slowdown in Underlying Inflation Is Good News

Slower underlying inflation in the euro zone in August is a positive development, according to European Central Bank Governing Council member Joachim Nagel.

“The good news is that the core inflation rate has declined” along with services,” the Bundesbank president said Tuesday. “We’re not yet seeing second-round effects in the core inflation rate.”

https://www.bloomberg.com/news/articles/2026-09-01/ecb-s-nagel-says-slowdown-in-underlying-inflation-is-good-news

 

Asia:

Chinese Banks Extend Record-Breaking Rally on Earnings, Dividend

Chinese bank stocks extended their record-breaking rally, with investors drawn by the sector’s resilient earnings and higher dividends from some of the country’s largest lenders.

The MSCI China Banks Index rose as much as 1.4% to a fresh record high, extending gains this year to about 18%. The gauge has outperformed the broader MSCI China Index, which is down about 9%, as well as the 5% advance in the Standard and Poor’s 500 Financials Index over the same period.

https://www.bloomberg.com/news/articles/2026-09-01/chinese-banks-extend-record-breaking-rally-on-earnings-dividend

 

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