Rubber Market Ends Mixed On Weak Regional Futures, Declining Oil Prices
By Siti Noor Afera Abu
KUALA LUMPUR, Sept 11 (Bernama) -- The rubber market ended mixed on Friday, tracking weaker regional rubber futures and a decline in crude oil prices.
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By Siti Noor Afera Abu
KUALA LUMPUR, Sept 11 (Bernama) -- The rubber market ended mixed on Friday, tracking weaker regional rubber futures and a decline in crude oil prices.
By Siti Noor Afera Abu
KUALA LUMPUR, Sept 7 (Bernama) -- The rubber market ended higher today, with Standard Malaysian Rubber 20 (SMR 20) reaching a new high this year, amid supply concerns in Thailand due to persistent heavy rainfall.
KUALA LUMPUR, Aug 21 (Bernama) -- Bursa Malaysia ended little changed on Friday, as investors remained cautious amid renewed pressure on global bond yields and geopolitical tensions, an analyst said.
By Engku Shariful Azni Engku Ab Latif & Abdul Hamid A Rahman
KUALA LUMPUR, Aug 10 (Bernama) -- Bursa Malaysia ended marginally lower on Monday, as investors largely stayed on the sidelines and adopted a wait-and-see approach amid uncertainties over US monetary policy and geopolitical developments, an analyst said.
By Fatin Umairah Abdul Hamid
KUALA LUMPUR, Aug 8 (Bernama) -- The Malaysian rubber market is expected to remain range-bound next week as geopolitical uncertainty and renewed tariff discussions weigh on global buying interest.
By Durratul Ain Ahmad Fuad
KUALA LUMPUR, Aug 3 (Bernama) -- The ringgit ended lower against the greenback and other major currencies on Monday, pressured by rising United States Treasury yields and renewed uncertainty over the path of US monetary policy.
By Zufazlin Baharuddin and Fatin Umairah Abdul Hamid
KUALA LUMPUR, Aug 1 (Bernama) -- Bursa Malaysia is expected to trade with an upside bias next week, supported by resilient corporate earnings, improving foreign fund inflows, and easing concerns over global trade.
By Nurunnasihah Ahmad Rashid
KUALA LUMPUR, June 17 (Bernama) -- The Bank of Japan’s (BOJ) ongoing policy normalisation is likely to have a greater impact on Asian financial markets than the European Central Bank’s (ECB) higher-for-longer interest rate stance.