Risky assets are coming under pressure as we move to the middle of the week. Trade concerns, global growth fears and geopolitics continue to weigh on sentiment. Falling bond yields could unleash and domino effect on global markets, get our take on how to make the most of your trading.
Read MoreGet our take on what the European election results mean for the equity and FX markets, and why the pound may not be dragged lower by a good performance for the Brexit Party.
Read MoreA must-read for anyone trading the markets during the EU elections, get our low down here, and find out the results that could move asset prices.
Read MoreGet our take on the outlook for sterling and the euro as we approach the European elections, and also find out why the Chinese currency could be the key driver of asset prices this week.
Read MoreThe sell off continues, as risk appetite continues to dwindle. Markets are jittery, and this time its China growth fears and inflation in the US that are worrying investors.
Read MoreWith US China trade talks delayed for a month, get our take on why this is bad news for the yen, but may only offer limited upside for US stocks as global recession fears take hold.
Read MoreGet our take on why US/ China trade negotiations and the Brexit saga are one long road to nowhere for financial markets.
Read MoreGet our take on everything that you need for the trading week ahead.
Read MoreFind out why we believe that the Fed could catch up with markets at this evening’s FOMC meeting, and also why this could be bad news for the dollar.
Read MoreGet our take on why the dollar could be at risk as we lead up to the Federal Reserve meeting, and why all eyes will be on the euro as the market digests Spanish election results.
Read MoreGet our view on why Amazon’s results could see their share price tumble, temporarily, and why Japan’s bank holidays could spell bad news for the FX market.
Read MoreGet our take on why Chinese GDP could be a game-changer for traders, and has the Easter bunny come early for financial markets.
Read MoreGet our take on everything you need to know for the short trading week ahead, including what to expect from the start of earnings season in the US.
Read MoreGet our take on how the Fed minutes could change things for the dollar and stocks, why the ECB was more of the same and how Brexit could go on, and on, and on for financial markets…
Read MoreRead our week ahead and get our view on why Fed minutes, ongoing Brexit negotiations and an ECB meeting could lull volatility from its slumber.
Read MoreGet our take on why financial markets are taking a breather from Brexit, for now, and instead looking towards a US-China trade deal and also key US labour market data due later this week.
Read MoreIt’s a crucial week for the UK, will it hash together a deal, or will it crash out of the EU on April 12th? We assess the options available to PM Theresa May, and what they will mean for the pound and UK asset prices.
Read MoreFind out why the pound is under pressure, but hedge funds are positive. Also, get our take on the best asset classes to navigate the latest bout of volatility.
Read MoreGet our take on why the outcome of the Robert Mueller report on President Trump could give stocks a boost this week, why Brexit fears are on pause for now, and why the euro is our big disappointment.
Read MoreGet our take on what the Fed’s dovish twist means for the market, and why it may not be all good news for the S&P 500. Also, find out why Brexit is not causing panic on the markets, for now.
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