Global Markets News

  • First Attack After Strait of Hormuz Reopens; Ceasefire Shakes Shipping RecoveryGlobal Markets
    A cargo ship was struck just one week after the US-Iran peace agreement, threatening the shipping recovery.
  • US-Iran Conflict and Russia-Ukraine War Rattle Global MarketsGlobal Markets
    Middle East geopolitical risks, plunging oil prices, and strength in Asian equities drove heightened volatility across global markets.
  • Geopolitical Risks and Restructuring Pressure Global Markets on All FrontsGlobal Markets
    Middle East war, European heatwaves, and Chinese competition pressured earnings at global companies including LVMH and Volkswagen, while India's Gen Z reshaped the political landscape.
  • Geopolitical Risks and AI Rally Warnings Spread Across Global MarketsGlobal Markets
    China launched massive market support while Dimon and Buffett warned of overheating, and fiscal risks emerged in the UK and Indonesia.
  • Emerging Markets Diverge Amid China's Growth SlowdownGlobal Markets
    China's Q2 GDP disappointed while CXMT's IPO drew global interest, Malaysia faced potential rate hikes, and Brazil moved to restructure farm debt.
  • Indo-Pacific Realignment and Shifting Security Landscape in Ukraine and IranGlobal Markets
    Global geopolitics is being reshaped through Modi's Indo-Pacific diplomacy, strengthened US-Ukraine defense cooperation, and Xi Jinping's reaffirmed support for North Korea.
  • US-Iran Conflict Reignites, Sending Oil Prices Surging and Dollar Higher, Rattling Global MarketsGlobal Markets
    Escalating Middle East tensions drove oil prices higher and strengthened the dollar, weakening emerging market currencies and intensifying concentration in Korean semiconductor stocks.
  • U.S. Stock Rally Expected to Continue Amid Momentum Overheating ConcernsGlobal Markets
    U.S. stock futures rose after the holiday break, while strategists warned of a potential momentum trade reversal and Korean won began 24-hour trading.
  • Global Market Highlights: Canada Pipeline, Yen Intervention, Argentina DebtGlobal Markets
    Canadian stocks rose on a new pipeline announcement, yen intervention concerns intensified, and Argentina extended a $6 billion repo maturity amid key global market developments.
  • Global Trade and Market Shifts: EU-China Tensions to Emerging Asian IssuesGlobal Markets
    EU-China trade imbalance, Canada-Philippines FTA, Korea's 24-hour won trading, and China's EV and humanoid robot market developments shape the global landscape.
  • Global Market Landscape Shifts in H1 2026 Amid Iran War and AI VolatilityGlobal Markets
    Global capital markets were reshaped in the first half of 2026 by an oil price shock, currency instability, and a strong rally in emerging market tech stocks.
  • Asian Stocks Post Biggest Quarterly Gain in 17 Years as Yen Hits 40-Year LowGlobal Markets
    Asian equities are on track for their largest quarterly gain in 17 years driven by tech strength, while the Japanese yen fell to a four-decade low against the dollar.
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