Hedge funds closed their bullish euro positions just days before US President Donald Trump threatened to impose new tariffs ...
US equity markets continued to advance in Q4 2025, despite bouts of volatility. Early in the quarter, a government shutdown ...
Despite bubble fears, there are several key differences between the late 1990s and today that bode well for US equities in ...
Indian equity markets are expected to remain volatile in the coming week from January 27 to January 30, 2026, as persistent global uncertainties and cautious domestic earnings commentary continue to ...
The liquidity position is improving and the external balance is showing signs of recovery after years of strain, but inflation still remains a major concern for the central bank, said Bangladesh Bank ...
U.S.–EU tariff escalation pushed gold and silver to record highs. Silver is outperforming gold amid safe-haven and industrial ...
As the world emerges from a multi-year peak in global liquidity in 2025, this year could shape up to be a “very, very different” year with the reversal of some of those capital flows.
Ghana’s macro recovery is real. The 5.7% growth rates, 5.4% inflation trends, and fiscal consolidation to 1.1% deficit paint ...
Short-term trading could feel tempting, but today may favour staged entries and exit plans based on data, not impulse.
The Australian share market has turned cautious again. Volatility has returned, sentiment has softened and many investors are ...
Weekly economic indicators stay positive: strong consumer spending, commodities and low jobless claims suggest no imminent ...
The Fund seeks to track the performance of the DBIQ Optimum Yield Diversified Commodity Index Excess Return. The Index is composed of futures contracts on 14 of the most traded physical commodities in ...