A mixed week for global markets with the S&P 500 reaching record highs. Trade tensions affect Japan, China sees uneven economic data, and UK housing shows signs of recovery.
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Global stock markets advanced in July 2025 despite rising geopolitical tensions in the Middle East. We explore the market reaction, oil price volatility, and central bank decisions shaping investor sentiment.
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Global markets surged last week as geopolitical tensions eased and trade negotiations progressed. Find out what moved markets and why staying invested remains essential.
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Tensions between Israel and Iran led to a spike in oil prices and market volatility. Here’s why staying invested through geopolitical uncertainty matters.
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Markets remained relatively steady last week despite rising geopolitical tensions in the Middle East. Central banks held rates, and global economic signals remained mixed.
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Markets fell last week amid rising tensions in the Middle East and renewed global uncertainty. A surge in oil prices, cautious trade optimism, and weak economic data shaped investor sentiment.
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Global markets delivered modest gains last week as resilient US jobs data boosted sentiment, despite ongoing trade tensions. The ECB cut rates, while China’s weak manufacturing figures increased expectations for fresh stimulus.
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