Global Market Brief — February 2026

February 2026 brought an unusual overlap of geopolitical shocks and economic volatility that rippled through almost every major market. Military escalation in the Middle East, shifting policy signals from large economies, and new security moves in Europe and Asia all fed into markets simultaneously. Energy flows, trade routes, and overall risk sentiment were pulled into… Continue reading

Global Market Brief: January 2026

Over the past month, global markets have not followed a straightforward growth trend. Instead, policy concerns and related risks have taken center stage. Investors shifted between feeling confident and becoming more cautious, depending on the latest headlines about trade tensions, geopolitical issues, and uncertainty around policymakers’ next moves. A clear sign of this was gold… Continue reading