- June 30, 2025
Dollar Slumps on Debt Fears, Euro Surges; Global Equities Rally into H2 Amid Policy Shifts- 01.07.2025
This daily macroeconomic update covers key market drivers as H1 2025 closes. From U.S. debt pressures and tariff concerns to eurozone inflows, UK resilience, and China’s easing pledges, investors face...
- June 27, 2025
U.S. GDP Fuels Fed Cut Bets, Dollar Slides; Global Markets Eye Tariff Deals
This global macroeconomic update reviews key economic indicators, central bank moves, and trade dynamics shaping markets worldwide. From steady inflation in the US to easing measures in Europe and mixed...
- June 27, 2025
NASDAQ, EUR/USD, Nikkei and META test key resistances as bullish structures remain intact
This multi-asset technical analysis reviews the latest price action across indices, forex pairs, and equities. As key resistance levels are tested, traders are evaluating breakout potential and monitoring whether recent...
- June 26, 2025
Palladium Climbs Within Channel, EU50 Rebounds from Support, Cotton Stuck in Range, GBPJPY Breaks Triangle
This multi-asset technical analysis covers recent developments across commodities, indices, and forex pairs. From Palladium’s channel rejection to GBP/JPY’s confirmed breakout, this report highlights important price zones, technical formations, and...
- June 25, 2025
Markets Soar as Iran-Israel Ceasefire Cuts Oil; Powell’s Speech,Weak Confidence in U.S.
This global market summary explores how geopolitical developments, particularly the Iran-Israel ceasefire, created broad ripple effects across financial markets. The combination of a sudden oil price crash, deteriorating U.S. data,...
- June 25, 2025
Bitcoin Rebounds, Oil Rejected, Netflix Strong, CAD/CHF Near Key Support
This multi-asset technical analysis highlights key market movements across Bitcoin (BTC/USDT), WTI crude oil, Netflix stock, and the CAD/CHF forex pair. Each asset is currently at a critical level—some testing...
- June 25, 2025
Global Markets Rally on Geopolitical Easing, Fed Signals, and Surging Risk Appetite – June 25, 2025
This global market summary reviews the major market drivers, including Powell’s Senate testimony, the ongoing oil recovery, and a Bitcoin breakout. With equities holding near record levels and central banks...
- June 24, 2025
Ceasefire Lifts Global Markets; Fed Dovish, PMIs Mixed, China Exports Slump, Oil and Gold Drop
This global market summary outlines the key developments shaping today’s financial landscape. A ceasefire between Iran and Israel triggered a global risk-on reaction—equities surged, oil prices dropped sharply, and bond...
- June 24, 2025
GBP/USD, Brent Oil, NASDAQ, and Nikkei Showing Range Setups, Breakout Attempts, and Key Resistance Reactions
In today’s daily market technical analysis, we examine key moves across major assets including GBP/USD, Brent Crude Oil, NASDAQ, and Nikkei. Price action across these instruments reflects shifting risk sentiment...
- June 23, 2025
Markets Tread Carefully Amid Geopolitical Tensions, Awaiting Central Bank Signals and Economic Clarity
Market Snapshot This global market snapshot reflects investor caution amid Middle East tensions and subdued central bank signals. Oil briefly spiked but fell back due to oversupply, while cryptocurrencies sold...
- June 23, 2025
Markets at Turning Points: Key Levels Tested Across Major Assets This Week
This weekly technical analysis highlights crucial price movements across four major assets — Bitcoin (BTCUSDT), USD/JPY, WTI Crude Oil, and Silver. The charts reflect key support and resistance zones, with...
- June 20, 2025
Global Markets Dip Amid Geopolitical Tensions, Diverging Central Bank Moves, and Oil Volatility
Global Markets Update: Oil, Central Banks & Geopolitics This global markets update examines how geopolitical tensions, shifting central bank policies, and commodity volatility are shaping sentiment across major economies. From...