ETFs

20 June 2026
Iran Threatens Hormuz Closure, Roiling Oil and Volatility Markets as Investors Brace for Supply Shock

Iran moves to close Strait of Hormuz, sparking fears of major oil shocks and market volatility.

20 June 2026
Record foreign inflows and wide US-G6 yield spreads bolster dollar outlook, TIC data show

Record foreign buying of US securities and wide yield spreads support a stronger dollar amid solid growth.

18 June 2026
US Dollar Reconnects With Rate Differentials as Fed Holds Firm, Testing 12-Month Highs

Societe Generale says the dollar is realigning with rate differentials, testing highs amid sticky inflation, resilient growth.

18 June 2026
Dow hits fresh high then retreats as hawkish Fed projections lift yields and unsettle risk assets

Dow hits record then reverses as Fed turns hawkish; yields jump, VIX rises, traders hedge defensively.

18 June 2026
US pending home sales growth accelerates in May, underpinning higher-for-longer Fed rate outlook

May pending home sales grew 4.8%, signaling stronger housing demand, delaying Fed cuts, boosting yields, homebuilders.

18 June 2026
US Business Inventories Rise 0.5% in April, Supporting Steady Stockbuilding and Fed Patience

US inventories rose 0.5% in April, meeting forecasts; sales softened, boosting hedging focus and CPI-driven volatility.

18 June 2026
US Retail Sales Surge Fuels Hawkish Fed Bets, Lifting Dollar and Volatility Across Markets

May US retail sales surged to 6.9%, boosting hawkish Fed odds, lifting volatility, and strengthening dollar.

17 June 2026
South Africa Retail Sales Growth Halves in April, Raising Rand and Rate-Cut Concerns

South Africa’s retail growth halved in April, signalling weaker consumers, rand pressure, equity risks, and dovish hopes.

17 June 2026
MBA mortgage applications drop 3.8% as higher rates weigh on housing and homebuilder outlook

MBA mortgage applications fell 3.8% after a 10.8% surge, signaling weakening housing demand amid high rates.

17 June 2026
Brent slides below $80 as oil-led disinflation tempers Fed outlook and reshapes rates positioning

Brent’s 30% plunge below $80 eases inflation fears, yet yields barely move as Fed stays hawkish.

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