U.S. markets rose on strong data and AI momentum, while oil above $100 lifted inflation risks and weighed on Europe, Asia and South Africa.
Continue readingWeek in Review: Markets Rebound as Risks Ease
Global markets rebound in April 2026 as oil prices ease, geopolitical risks stabilise, and earnings remain resilient. Key insights from the week.
Continue readingMONTHLY UPDATE | March 2026
Market Review March 2026: Global markets fall as energy shock from Iran conflict drives inflation, weakens equities, and pressures currencies worldwide.
Continue readingWeek in Review: Ceasefire Sparks Rally as Oil and Inflation Risks Linger
Markets rally on Middle East ceasefire as oil prices ease, but inflation risks persist. This article covers global equity and economic trends over the last week.
Continue readingWeek in Review: Iran Conflict Stokes Inflation Fears
Markets rebound despite Iran tensions, oil surge, and inflation risks. Key insights on global equities, rates, and economic data.
Continue readingWeek in Review: Markets Navigate Rising Energy Risks
Markets remain cautious as rising oil prices fuel inflation concerns, pressure central banks and drive mixed global performance.
Continue readingWeek in Review: Energy Shock Drives Hawkish Rate Repricing
US GDP slows to 1.4%, inflation edges higher and global markets react to renewed trade tensions and policy uncertainty.
Continue readingWeek in Review: Middle East Conflict Dominates
Global markets faced a turbulent week as the escalating conflict in the Middle East continued to overshadow economic fundamentals,
Continue readingMONTHLY UPDATE | February 2026
U.S. tech weakness contrasts with strong gains in Japan, Europe and South Africa as global markets diverge amid easing inflation.
Continue readingWeek in Review: Geopolitical Risks Weigh on Global Markets
Global markets turned volatile in the last week as Middle East tensions pushed oil sharply higher, raising inflation risks and weighing on equities.
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