Equity markets faced challenges in April as rising interest rates and geopolitical tensions persisted.
Read MoreAfter a challenging start to the year, equity markets showed signs of recovery in March.
Read MoreIn February, the conflict in Ukraine took center stage in economic and financial news, causing a downturn in the markets following the Russian invasion.
Read MoreIn January, equity markets were overshadowed by concerns of a more rapid and aggressive tightening of monetary policy in the United States, impacting regions worldwide.
Read MoreIn December, investor sentiment improved, leading to a positive end to the year for stocks.
Read MoreNovember saw a resurgence of volatility in the financial markets, leading to a sharp decline in stocks towards the end of the month following the emergence of the Omicron variant.
Read MoreOctober proved to be a positive month for stocks, with notable achievements in both the US and European markets.
Read MoreIn September, investor sentiment took a hit as concerns about higher inflation and the situation in China dampened market enthusiasm.
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