Week in Review – Inflation Resurgence Clouds Market Sentiment

Inflation resurgence, higher yields and geopolitical risks weigh on global markets as investors assess US [...]

Month in Review: APRIL 2026

April marked a sharp reversal from the risk-off environment of March,

Week in Review – Earnings Momentum and Firmer Data Support Risk Assets

Global markets advanced as strong US earnings, resilient labour data and improving South African fiscal [...]

Upbeat earnings drive records as the Middle East keeps markets on edge

US equities delivered solid gains last week, driven by another strong US earnings season.

Week in Review – U.S. Markets Rise as Oil Shock Fuels Inflation Risks

U.S. markets rose on strong data and AI momentum, while oil above $100 lifted inflation [...]

Week in Review – Markets Rebound as Risks Ease

Global markets rebound in April 2026 as oil prices ease, geopolitical risks stabilise, and earnings [...]

MONTHLY UPDATE | MARCH 2026

Market Review March 2026: Global markets fall as energy shock from Iran conflict drives inflation, [...]

Week in Review – Ceasefire Sparks Rally as Oil and Inflation Risks Linger

Markets rally on Middle East ceasefire as oil prices ease, but inflation risks persist. This [...]

Week in Review – Iran Conflict Stokes Inflation Fears

Markets rebound despite Iran tensions, oil surge, and inflation risks. Key insights on global equities, [...]

Week in Review – Markets Navigate Rising Energy Risks

Markets remain cautious as rising oil prices fuel inflation concerns, pressure central banks and drive [...]

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