The week is expected to be highly event-driven for global financial markets as investors monitor a combination of geopolitical tensions, major central bank decisions, and key macroeconomic data releases. Escalating tensions in the Middle East involving the United States, Israel, and Iran continue to add uncertainty to global markets, particularly in energy prices and safe-haven […]
Weekly Market Outlook | 9 – 13 March
Global markets enter the second week of March in a state of heightened volatility, as the traditional “inflation-versus-growth” debate has been abruptly overshadowed by geopolitical risk. Liquidity conditions remain stable but sentiment has shifted decisively toward defensive positioning following the sudden escalation in the Middle East. Coordinated U.S. and Israeli airstrikes on Iranian infrastructure on […]
Weekly Market Outlook | 2 – 6 March
The first week of March is expected to be a volatile one for global markets as investors navigate a combination of geopolitical tensions in the Middle East, key U.S. economic data, and signals about the future direction of monetary policy. Escalating tensions between Israel, Iran, and the United States have added a significant geopolitical risk […]
Weekly Market Outlook | 16 – 20 February
Global markets head into the third week of February with a clear split in liquidity and catalysts: U.S. markets reopen after the Presidents’ Day holiday, and the remainder of the week concentrates a dense set of U.S. macro releases and policy signals that can reprice rates, the dollar, and broader risk sentiment. This is also […]
Weekly Market Outlook | 9 – 13 February
Global financial markets concluded the first week of February with a significant divergence between “old economy” resilience and high-growth volatility. While the Dow Jones Industrial Average hit the historic 50,000 milestone, the tech-heavy Nasdaq and broader S&P 500 faced pressure as investors digested a “Magnificent Seven” earnings season that rewarded high CapEx but punished anything […]
Weekly Market Outlook | 2 – 6 February
Global financial markets enter the first week of February with liquidity fully restored and investor focus shifting decisively toward macro confirmation. Following January’s positioning adjustments, markets are now increasingly driven by incoming economic data, central-bank guidance, and cross-asset repricing as participants assess whether early-2026 trends validate expectations for growth and monetary easing later in the […]
Weekly Market Outlook | 26 – 30 Jan 2026
Weekly Market Outlook | 26 – 30 Jan 2026 Markets last week navigated sharp volatility following President Trump’s tariff threats on European imports amid Greenland-related tensions, before a rapid de-escalation helped limit downside pressure. Positive macro data included a Q3 GDP revision to 4.4% annualised and steady November PCE inflation at 2.8% year-on-year. The week […]
Weekly Market Outlook | 19 – 23 Jan
Global financial markets this week are set to navigate a high-risk environment dominated by geopolitical tensions, particularly after U.S. President Donald Trump renewed tariff threats against several European countries, including over Greenland. These developments have quickly shifted market dynamics, with risk sentiment weakening sharply as investors seek safety in traditional haven assets. Markets will also […]
Weekly Market Outlook | 12 – 16 January
Last week opened with a geopolitical shock, and the coming week appears set to follow a similar trajectory. Political unrest in Iran has affected another major oil producer that is operationally more significant than Venezuela. Despite this, crude and Brent oil prices have continued to trade near historically depressed levels, broadly consistent with the lower […]
Weekly Market Outlook | 5 – 9 Jan
The first full trading week of 2026 marks a re-engagement phase for global financial markets as investors return from year-end holidays and liquidity conditions normalise. With trading volumes recovering, markets are expected to respond more decisively to incoming macroeconomic data, particularly from the United States. Investor focus centres on labour-market strength, inflation dynamics, and how […]

