US May Unadjusted CPI YoY (Previous: +3.8%, Expected: +4.2%)
1. ABN AMRO: +4.1%; Berenberg: +4.1%; DBS Bank: +4.1%; Scotiabank: +4.1%; UniCredit: +4.1%;
2. Montreal: +4.2%; Bank of America: +4.2%; Capital Economics: +4.2%; Goldman Sachs: +4.2%; High Frequency Economics: +4.2%;
3. ING: +4.2%; Nomura Securities: +4.2%; Sumitomo Mitsui Securities: +4.2%; Societe Generale: +4.2%; Standard Chartered Bank: +4.2%;
4. Stieffer: +4.2%; TD Securities: +4.2%; UBS Securities: +4.2%; Wells Fargo: +4.2%; BNP Paribas: +4.3%;
5. JPMorgan: +4.3%; Morgan Stanley: +4.3%; Citigroup: +4.3%; HSBC: +4.3%; Barclays: +4.3%; Danske: +4.3%; US May Unadjusted Core CPI YoY (Previous: +2.8%, Expected: +2.9%)
1. Morgan Stanley: +2.8%; Bank of America: +2.8%; Citigroup: +2.8%; Goldman Sachs: +2.8%; Nomura Securities: +2.8%;
2. UBS: +2.8%; TD Securities: +2.8%; Wells Fargo: +2.8%; ABN AMRO: +2.9%; BNP Paribas: +2.9%;
3. Montreal: +2.9%; Barclays: +2.9%; Capital Economics: +2.9%; HSBC: +2.9%; High-Frequency Economics: +2.9%;
4. Jefferies: +2.9%; Danske: +2.9%; ING: +2.9%; Sumitomo Mitsui: +2.9%; Scotiabank: +2.9%;
5. JPMorgan: +2.9%; Societe Generale: +2.9%; Standard Chartered: +2.9%; Steifelr: +2.9%; UniCredit: +2.9%;