{"id":65337,"date":"2026-07-24T08:38:14","date_gmt":"2026-07-24T12:38:14","guid":{"rendered":"https:\/\/www2.stockmarketwatch.com\/stock-market-news\/canada-producer-prices-plunge-as-ecb-signals-september-policy-review\/65337\/"},"modified":"2026-07-24T08:38:14","modified_gmt":"2026-07-24T12:38:14","slug":"canada-producer-prices-plunge-as-ecb-signals-september-policy-review","status":"publish","type":"post","link":"https:\/\/www2.stockmarketwatch.com\/stock-market-news\/canada-producer-prices-plunge-as-ecb-signals-september-policy-review\/65337\/","title":{"rendered":"Canada Producer Prices Plunge as ECB Signals September Policy Review"},"content":{"rendered":"<h2>Key Takeaways<\/h2>\n<ul>\n<li><strong>Canada\u2019s Industrial Product Price Index (IPPI) fell 1.4% in June<\/strong>, significantly steeper than the <strong>0.4% decline<\/strong> analysts had expected, marking the first drop after five months of gains.<\/li>\n<li><strong>Raw Materials Price Index (RMPI) plummeted 6.9%<\/strong> month-over-month, far exceeding the estimated <strong>1.3% contraction<\/strong>, primarily driven by a sharp <strong>13.7% drop<\/strong> in crude energy products.<\/li>\n<li><strong>ECB Governing Council member Bo\u0161tjan Vasle (Zigman)<\/strong> confirmed the central bank will conduct a comprehensive assessment of the eurozone situation in <strong>September<\/strong>, maintaining a data-dependent stance.<\/li>\n<li><strong>Energy prices remain the primary driver<\/strong> of global volatility; Canadian producer prices cooled following a tentative <strong>U.S.-Iran deal<\/strong>, while the ECB remains wary of Middle East tensions.<\/li>\n<\/ul>\n<h2>Canadian Producer Prices See Sharpest Decline Since 2024<\/h2>\n<p>Prices for products manufactured in Canada saw a significant retreat in June 2026, with the <strong>Industrial Product Price Index (IPPI)<\/strong> declining <strong>1.4%<\/strong>. This move follows a <strong>1.2% increase<\/strong> in May and ends a five-month streak of rising factory-gate prices. The decline was largely attributed to a <strong>9.1% drop<\/strong> in energy and petroleum products, as international markets reacted to improved shipping prospects in the <strong>Strait of Hormuz<\/strong> following a tentative diplomatic breakthrough between the <strong>United States<\/strong> and <strong>Iran<\/strong>.<\/p>\n<p>The <strong>Raw Materials Price Index (RMPI)<\/strong> experienced an even more dramatic shift, falling <strong>6.9%<\/strong> against a previous rise of <strong>0.7%<\/strong>. Lower prices for <strong>crude energy products (-13.7%)<\/strong> and <strong>primary non-ferrous metal products (-2.7%)<\/strong> were the main contributors to this downward pressure. Despite the monthly cooling, the RMPI remains up <strong>20.7%<\/strong> on a year-over-year basis, highlighting the persistent high-cost environment for Canadian manufacturers over the past twelve months.<\/p>\n<h2>ECB Maintains &quot;Hawkish Pause&quot; Ahead of September Meeting<\/h2>\n<p>In Frankfurt, the <strong>European Central Bank (ECB)<\/strong> kept its key interest rates unchanged on July 23, with the deposit facility remaining at <strong>2.25%<\/strong>. Following the decision, officials including <strong>Bo\u0161tjan Vasle (Zigman)<\/strong> emphasized that the Governing Council is not pre-committing to a specific path but will use the <strong>September meeting<\/strong> to reassess the inflation outlook. This &quot;meeting-by-meeting&quot; approach comes as the eurozone grapples with a resilient economy but volatile energy inputs.<\/p>\n<p>Market participants are closely watching for the September staff projections, which will provide updated forecasts for growth and inflation. While headline inflation in the eurozone moderated to <strong>2.8% in June<\/strong>, analysts at <strong>ING (<a href=\"\/stock\/ING\">ING<\/a>)<\/strong> and <strong>BNP Paribas (<a href=\"\/stock\/BNP\">BNP<\/a>)<\/strong> suggest that unless energy prices stabilize, the ECB may be forced to deliver one final <strong>25-basis-point hike<\/strong> in September to ensure inflation returns to its <strong>2% target<\/strong> by 2027.<\/p>\n<h2>Global Energy Volatility Clouds Inflation Outlook<\/h2>\n<p>The divergence in recent data highlights the fragility of the current disinflationary trend. In Canada, the cooling of producer prices is expected to provide relief to the <strong>Consumer Price Index (CPI)<\/strong>, which already slowed to <strong>2.8%<\/strong> in June. However, the <strong>ECB<\/strong> remains concerned that the &quot;energy shock&quot; has not fully played out, noting that any renewed escalation in the Middle East could quickly reverse the recent progress made in cooling industrial and consumer costs.<\/p>\n<p>For investors, these developments suggest a period of heightened sensitivity to geopolitical headlines. While the Canadian dollar (<a href=\"\/stock\/CAD\">CAD<\/a>) faces pressure from falling commodity prices, the Euro (<a href=\"\/stock\/EUR\">EUR<\/a>) remains supported by the possibility of further tightening. Central banks on both sides of the Atlantic appear focused on the end of the third quarter as the critical window for determining whether current restrictive policies are sufficient to anchor long-term inflation expectations.<\/p>\n","protected":false},"excerpt":{"rendered":"<p>Key Takeaways Canada\u2019s Industrial Product Price Index (IPPI) fell 1.4% in June, significantly steeper than the 0.4% decline analysts had 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