Global stocks declined due to concerns that U.S. interest rates might stay elevated in response to persistent inflation.
Read MorePMI for September dropped slightly, indicating a cooling US economy
Read MoreWorries surrounding China's economic trajectory contributed to the drop in August's equity. July's data on activity, credit, and inflation missed expectations. Focus remained on the challenges facing China's real estate sector and fluctuating consumer trust.
Read MoreIn June, the positive momentum in equity markets continued, driven by several factors.
Read MoreIn June, the positive momentum in equity markets continued, driven by several factors.
Read MoreNvidia exceeded expectations with its end-of-month results, generating excitement in the artificial intelligence sector. The company's revenue outlook surpassed predictions, driven by heightened demand for its cutting-edge semiconductors crucial for advancing AI technology.
Read MoreApril was characterized by low volatility in equity markets as investors adopted a cautious approach, awaiting more clarity on economic trends and monetary policy.
Read MoreMarch was marked by significant stress in the banking industry, causing concerns among investors. Despite this, equity markets managed to end the month on a positive note, while bond yields experienced a notable decline. Central banks continued their efforts to tighten monetary policy without hesitation.
Read MoreCapital markets faced challenges in February as renewed concerns about interest rate risk came into focus. Global equities, measured by the MSCI ACWI in USD terms, fell by 2.9%, while government bonds declined by 3.5% in unhedged USD terms.
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