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Pre-market price action and scheduled economic data that may have an impact on the global financial markets:
STOCKS – Risk-Off flows continued as U.S. equity index futures dropped after a rally in Asian stocks reversed, pushing a gauge of global equities back to the brink of a bear market.
BONDS – Treasuries climbed, pushing 10-year yields to the lowest since October, as investors continued to favor the safety of sovereign debt.
COMMODITIES – U.S. oil stockpiles expanded by 4.6 million barrels last week, the industry-funded American Petroleum Institute was said to have reported. That compares with the 2.2 million barrel increase predicted by energy analysts ahead of data from the Energy Information Administration Thursday.
CURRENCIES – The yen erased earlier declines after policy makers quelled speculation the Bank of Japan is preparing to boost currency-weakening stimulus as soon as next week.
ECONOMIC DATA – ECB Press Conference, US Philly Fed Manufacturing Index and US Unemployment Claims due at 8:30, Natural Gas Storage at 10:30 and Crude Oil Inventories at 11:00 ET.
– Trading Team, Rios Quantitative LLC
THERE IS A SUBSTANTIAL RISK OF LOSS IN TRADING COMMODITY FUTURES, OPTIONS, AND FOREIGN EXCHANGE PRODUCTS