- January 01, 0001
Global Markets Face Volatility Amid Trade Tensions and Inflation Concerns
March 10, 2025 – Macroeconomic Overview Global financial markets entered the week of March 10, 2025, with heightened volatility as trade tensions, inflationary pressures, and shifting fiscal policies drove investor...
- January 01, 0001
Markets Brace for Volatility as Global Economic Data Weakens and Central Banks Shift
China’s Manufacturing PMI (49.1) fell below 50, signaling economic contraction, while the Chinese New Year holiday throughout the week may lead to lower liquidity and increased volatility in Asian markets....
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Weekly Macro Outlook | March 17–24, 2025: Markets Brace for Key US Inflation & Growth Data
Over the past week, global markets have been influenced by central banks’ cautious stances amid persistent inflation and slowing growth. In the United States, investors are delving into unconventional economic...
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Week of May 20–24 Recap | Week of May 27–31 Outlook
Markets treaded cautiously last week amid hawkish Fed minutes, signs of persistent US inflation pressures, and weak global PMIs, reinforcing concerns about global growth moderation. Equity indices pulled back slightly,...
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Cautious Start to the Week Ahead of U.S. CPI and Fed Decision, Euro Weakens on Politics
🌍 Global Market Outlook: Investor Sentiment Remains Cautious This week, the global market outlook indicates a cautious sentiment among investors as they anticipate two critical macroeconomic events: the U.S. Consumer...