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.
Continue readingWeek in Review: Volatility Flares, Fundamentals Hold
Global markets turned volatile in the week of 12 October 2025 as AI concerns hit US equities, while Europe, Japan and SA showed resilience.
Continue readingWeek in Review: US GDP Growth Slows
U.S. consumer confidence slumps as inflation pressures re-emerge, central banks stay cautious, and global equity markets deliver mixed results.
Continue readingWeek in Review: Inflation Cools While the US Labour Market Stays Resilient
U.S. consumer confidence slumps as inflation pressures re-emerge, central banks stay cautious, and global equity markets deliver mixed results.
Continue readingMONTHLY UPDATE | January 2026
December capped a strong year for investors,
Continue readingWeek in Review: Markets Rotate as Technology Leadership Pauses
U.S. consumer confidence slumps as inflation pressures re-emerge, central banks stay cautious, and global equity markets deliver mixed results.
Continue readingWeek in Review: U.S. Confidence Slides in January
U.S. consumer confidence slumps as inflation pressures re-emerge, central banks stay cautious, and global equity markets deliver mixed results.
Continue readingWeek in Review: Volatility Flares, Fundamentals Hold
Global markets navigated another week shaped by geopolitical uncertainty and shifting investor sentiment,
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