Filip Telski notes “little cracks” in the market due to AI slowdown, but dismisses claims of a market crash.
October brings bearish trends; rising rates impact markets, but consumer staples thrive amid uncertainty.
Wall Street declines as oil prices surge and U.S. bond yields rise amid ongoing Iran conflict uncertainties
‘Money was being treated like confetti’ during the pandemic, affecting inflation and global markets. David Scutt from StoneX discusses how fiscal policies and crude prices are...
The Fed aims for 2% inflation; rate hikes may stabilize global markets amid AI-driven inflation pressures.
David Scutt warns Trump’s 1% interest rate call could plummet the dollar and escalate inflation amid a hot economy.
A major market correction could emerge from the AI sector, where an “overwhelming amount” of global investment is concentrated, according to Filip Tortevski. Tortevski says...
Zoran Kresvic warns US bond market interventions may offer short-term relief but could worsen financial issues in 6-12 months.
"Investors face volatility as geopolitical tensions rise, impacting oil prices, inflation, and market uncertainty, warns Kyle Rodda."
Dale Gillham warns of a potential crash due to private credit risks; diversify investments to mitigate danger.
"Rising bond market pressures threaten Australian mortgages; potential double-digit property price declines ahead."
"Upcoming tax changes will complicate dividend reinvestment, urging investors to rethink their strategies, warns expert Steve Enticott."
CSL's 16% stock rise reflects market confidence in its restructuring and profit growth strategy, boosted by AI and efficiency gains.
Rising U.S.-Iran tensions drive energy costs higher, impacting global markets and altering shipping routes amid semiconductor helium concerns.
Dow has 49% chance of finishing 2026 with double-digit gains despite prior performances, countering gambler’s fallacy risks