Market volatility surged in February as investors reacted to inflation concerns, shifting Federal Reserve policies, and fears of a potential economic slowdown. Tariffs and trade wars intensified, with ...
The markets have experienced a week filled with cautious observation and data releases that could shape economic decisions in the near term. Several key events have captured the attention of investors ...
The Federal Reserve’s signaling to the market that its next move will be rate cuts actually makes it more difficult to cut rates. The signal to the market about rate cuts leads to a loosening of ...
In September, investors were surprised by the Fed's larger-than-expected rate cut (50 bps), mixed economic data, and a slew of international uncertainties, from China to the Middle East. Explore the ...
The global commodities market is facing unprecedented challenges due to a combination of geopolitical tensions, economic uncertainty and supply chain disruptions. These factors have led to significant ...