What will affect the global financial markets in 2025?
The expiry of the gas transit deal between Ukraine and Russia, and the new US debt limit could affect the global financial markets in 2025.
The expiry of the gas transit deal between Ukraine and Russia, and the new US debt limit could affect the global financial markets in 2025.
Clearly there is a huge amount of speculation about the outcome of the November 5th US presidential election and the impact that it is likely to have on financial...
The global financial markets will price in a good deal of volatility over the US election, but without any significant directional skew or bias.
There are a number of reasons why markets seem less flustered by some sorts of political changes in Europe.
So far, financial markets have retained the faith in the US dollar, even though it seems that US policymakers have undermined this faith with things like protectionism....
Financial markets showed a nervy reaction to the decision by Fitch to strip the US of the top AAA rating on Tuesday but, as far as we can tell, few think that it will...
Increases in U.S. interest rates driven by reaction shocks are associated with adverse movements in Emerging Markets and Developing Economies (EMDE)’s financial markets,...
If the Republicans do make sweeping gains, it will plunge the US into a Liz Truss like political and financial market nightmare.
If we are witnessing the demise of populism, how might that impact global financial markets?
There are widespread concerns about Russian military troop movements on the border with Ukraine. How will these tensions impact global financial markets?