Geopolitics
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26 JUN clock 19:58

Market round-up: Fragile ceasefire, Dollar crumbles, Risk assets rally

This week was dominated by geopolitical drama, volatile commodity prices, and rising equity markets. The Dollar has tumbled to levels not seen since March 2022 on rising Fed cut bets, while global equities are higher amid the risk-on mood. All eyes are on the US PCE report on Friday...
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25 JUN clock 03:24

Mid-week review: Mideast Truce, Powell & PCE

Global stocks surged after a ceasefire between Iran and Israel appeared to hold despite initially faltering. Oil prices tank almost 15% supply fears ease, gold dims, while the dollar weakens across the board. Here is what you need to know...
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23 JUN clock 03:09

Markets rattled by mounting geopolitical risks

Early on Sunday, the United States joined Israel’s war against Iran by launching airstrikes on three nuclear sites. This unexpected development sparked risk aversion, with markets kicking off Sunday evening with significant price gaps. Here is what you need to know...
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19 JUN clock 20:14

Market round-up: Fed/BoE hold, Geopolitical risk, Oil soars

It has been another week defined by mounting geopolitical risk as the Israel-Iran conflict grips financial markets. Global equities were under pressure, while the dollar and gold gained as the risk-off mood prevailed. The Fed & BoE left rates unchanged while Oil jumped to levels not seen since January 2025.
Dollar dollar
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13 JUN clock 13:25

Week Ahead: Dollar braces for massive week of risk events

Escalating tensions in the Middle East have put financial markets in a chokehold, with investors steering clear of riskier assets. Our focus falls on the dollar, which could be rocked by geopolitical risk and major central bank decisions, including the Fed. Here is what you need to know...