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Russian-Ukrainian war

Markets Rally as Nasdaq Hits Record High, AUD and GBP Face Headwinds Amid Global Trade Concerns | Daily Market Analysis

Key events: USA - JOLTS Job Openings (Oct) The S&P 500 and Nasdaq began December on a strong note, hitting fresh record highs following a remarkable November. The S&P 500 gained 0.2%, closing at a historic 6,046.3, while the Nasdaq surged 1% to end at 19,403.58, another record. In contrast, the Dow Jones Futures dipped 0.29%, shedding 128 points in the session.

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Global Markets Waver Amid Geopolitical Tensions and Central Bank Speculations | Daily Market Analysis

Key events: Eurozone - CPI (YoY) (Nov) UK - BoE Gov Bailey Speaks Eurozone - ECB's De Guindos Speaks Canada - GDP (YoY) (Q3) Asian markets saw a broad decline on Friday as geopolitical tensions from the Russia-Ukraine war escalated, weighing heavily on risk sentiment. Japan's Nikkei was particularly affected, dropping sharply as the yen surged on stronger-than-expected inflation data, further challenging the market outlook.

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Global Markets React to Easing Geopolitical Tensions and Central Bank Moves | Daily Market Analysis

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Markets Rally as S&P 500 Notches Best Week of 2024, Gold Hits Record High Amid Fed Uncertainty | Daily Market Analysis

Key events: USA - Fed Waller Speaks USA - US Leading Index (MoM) (Jul) The S&P 500 closed higher on Friday, marking its strongest week of the year as easing economic concerns spurred a wave of dip buying in stocks after recent market turbulence. The Dow Jones Industrial Average climbed 96 points, or 0.1%, while the S&P 500 and NASDAQ Composite each gained 0.2%.

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Fed's Rate Cut Projections Boost Stocks, Gold Holds Firm Amid Geopolitical Tensions | Daily Market Analysis

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​​​​​​​Geopolitical Tensions, Economic Surges, and Earnings Season Kick-Off | Daily Market Analysis

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Mixed Market Reactions Amidst Uncertainties in Russia and Inflation Concerns | Daily Market Analysis

Key events:      Eurozone - ECB President Lagarde Speaks                         USA - Building Permits      USA - Core Durable Goods Orders (MoM) (May)      USA - CB Consumer Confidence (Jun)          USA - New Home Sales (May)                             On Monday, US stocks concluded the day with a decline as investors exercised caution in their approach towards riskier assets due to uncertainties surrounding the outcome of the disrupted mutiny in Russia over the weekend.

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US Markets Weaken Amid Rising Government Bond Yields | Daily Market Analysis

Key events:         UK – GDP (MoM) (Dec) UK – GDP (YoY) (Q4) UK – GDP (QoQ) (Q4)   UK – Manufacturing Production (MoM) (Dec) UK – Monthly GDP 3M/3M Change (Dec) Eurozone – EU Leaders Summit      Canada – Employment Change (Jan) Yesterday the FTSE 100 continued to show positive momentum and made a new record high. The level of 8,000 is still acting as a magnet for investor sentiment, and the market seems to just want to go higher.

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Should We Expect Further ECB Rate Hikes? | Daily Market Analysis

Key events: UK - Average Earnings Index +Bonus (Sep)   UK - Claimant Count Change (Oct)   USA - PPI (MoM) (Oct)  

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Dow Rises As Q3 GDP Data Exceeds Expectations | Daily Analysis Market

  Key events: USA - Core PCE Price Index (MoM) (Sep) Canada - GDP (MoM) (Aug) USA - Pending Home Sales (MoM) (Sep)   The U.S. stock market fluctuated after data showed the U.S. economy grew in the third quarter after two quarters of declining output. The Dow Jones rose 305 points, or 1 percent, while the S&P 500 fell 0.1 percent and the NASDAQ Composite fell 0.7 percent.

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