April 2025 was marked by significant turbulence in global financial markets, driven primarily by escalating trade tensions
Read MoreMarch 2025 was marked by heightened volatility across global financial markets, driven by escalating trade tensions, shifting monetary policies, and divergent regional performances.
Read MoreFebruary 2025 presented a complex landscape for global financial markets, characterized by heightened volatility, divergent regional performances
Read MoreJanuary 2025 commenced with a robust start for global financial markets, as equities, bonds and commodities delivered positive returns in many jurisdictions.
Read MoreDecember 2024 concluded a year of strong gains for global financial markets with a subdued performance
Read MoreNovember 2024 witnessed a robust rally in global financial markets, propelled by the U.S. presidential election outcome
Read Morectober 2024 was marked by heightened volatility across global financial markets, as investors grappled with rising bond yields
Read MoreSeptember 2024 was marked by a notable rebound in global financial markets, driven by synchronized monetary easing
Read MoreAugust 2024 presented a complex landscape for global financial markets, characterized by a mix of volatility and resilience across various asset classes.
Read More