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Rising cost: A farmer observes a combine harvester and trailer during corn harvesting on a farm in France. Europe is struggling with high inflation, with food and energy price pressures seen accelerating. — Bloomberg

LONDON: Eurozone inflation probably hit another record last month, just short of 10%, keeping the heat on the European Central Bank (ECB) as it considers how aggressively to raise interest rates.

All economists surveyed by Bloomberg predict a new all-time high for consumer-price increases. The median forecast is 9.7%, with four predicting a double-digit outcome.

Data for the 19-nation eurozone are due soon, following reports from the region’s three largest economies and an assessment of business sentiment around the bloc.

With prior readings having given a key impetus to expand tightening at the past two ECB meetings, the new report is likely to be one of the most important ingredients for the next decision, due in a month’s time.

That backdrop, along with any policy implications from Italian elections, will surely be a dominant theme for president Christine Lagarde when she testifies to lawmakers in Brussels the following day.

She’s likely to face questions on where interest rates will settle after 1.25 percentage points in hikes so far, and which way officials will lean if they have to choose between fighting inflation and protecting jobs.

Her appearance comes during one of the busiest weeks for ECB speeches this year. All of Lagarde’s five executive board colleagues, as well as 10 of 19 national central bank chiefs, are due to make public comments.

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“Eurozone inflation is likely to have reached a new high of 9.6% in September as food and energy costs continue to rise,” said Bloomberg Economics.

“The end to German price-damping measures introduced at the start of the summer will also add to price pressures.”

Elsewhere, a reading of the Federal Reserve’s (Fed) preferred price gauge, new Organisation for Economic Co-operation and Development (OECD) economic forecasts, and inflation in Brazil are just some of the reports that will keep investors focused.

The US economic data calendar gets a little busier, capped on Friday by the August personal income and spending report that will include a read on the Fed’s preferred inflation gauge.

Economists project a smaller annual advance in the personal consumption expenditures (PCE) price index, reflecting recent lower fuel costs.

However, the core PCE price gauge that excludes food and energy is seen accelerating.

That would be similar to what the recently released consumer price index report showed, a result that played a role in the Fed’s decision recently to boost its benchmark lending rate 75 basis points (bps) for a third straight meeting.

The spending portion of the report will help determine the pace of economic growth during the third quarter, while the income data will offer insight on the financial health of consumers.

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