The article discusses the importance of staying invested in the S&P 500 while being mindful of risks such as geopolitical tensions, inflation, technology sector volatility, market sentiment, and sector-specific risks.
The Japanese yen is experiencing significant volatility, with projections suggesting it could fall to ¥170 against the US dollar. Factors include divergent monetary policies, Japan's sluggish economic growth, and global geopolitical tensions.
This article examines why national defense is overlooked in political discourse, emphasizing the importance for leadership candidates to prioritize defense amidst evolving global threats.
The US Federal Reserve's cautious optimism coupled with aggressive readiness, dubbed 'dove with sharpest claws,' fortifies the dollar's resilience amid post-pandemic recovery and geopolitical tensions.
The article discusses a weekly gain in oil prices driven by a slump in US stockpiles, indicating higher consumption or lower production. Various factors such as industrial activity, geopolitical tensions, and OPEC+ strategies contribute to the bullish market trends.
Recent research highlights a resurgence in nuclear armament amid rising geopolitical tensions. Nuclear states are modernizing arsenals, emphasizing the need for international diplomacy to prevent a new arms race.
Asian stocks are poised for a downturn due to global market turbulence. Factors such as geopolitical tensions, inflation concerns, and central bank policy uncertainties weigh heavily on investor sentiment.
Global defence groups are experiencing a significant surge in recruitment to meet record orders for advanced military equipment and technology, driven by increased geopolitical tensions and elevated defence budgets.