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Global Investment Outlook 2022

Low Visibility Ahead

Heated by the sunshine of a vibrant recovery, the magic liquidity is evaporating, and turning into fog for investors. While growth remains robust, markets may not be ready for the new uncertainties around central banks, inflation and interest rates, to name a few. We are getting prepared to navigate tactically, in a year of ‘low visibility ahead’.

اقرأ الملفّ

MARKET MATTERS: Listen to our latest podcast episode

Sustainability in the MENA corporate context

Businesses in the UAE are putting sustainability at the core of their operations to meet both national targets and access new sources of capital. Ibrahim al Zubi, chief sustainability officer of Majid Al Futtaim, joins us to talk about the steps they have taken to instill a culture of sustainability across their operations at Majid Al Futtaim group.

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Fed Balancing Growth & Inflation Scare

Fed Balancing Growth & Inflation Scare

Anita Krishna Gupta, Head of Equity Strategy discusses the impact of the Fed's rate hike on global markets, what would be an interest rate sweet point for equities. She speaks with Manus Cranny on 'Bloomberg Daybreak: Middle East.'

06.05.2022

Slowing growth, rising inflation: Is 2022 already a year to forget?

Slowing growth, rising inflation: Is 2022 already a year to forget?

Maurice Gravier, Chief Investment Officer discusses how this year should see slower growth, higher inflation, and, crucially for markets, an accelerated tightening from western central banks.

29.04.2022

AED denominated T-Bonds to boost local debt capital markets

AED denominated T-Bonds to boost local debt capital markets

In a historical announcement yesterday, the Ministry of Finance announced that the first auction of AED denominated T-Bonds is to happen in May.

21.04.2022

المقالات السابقة

Time for long-term investors to put some cash at work

Time for long-term investors to put some cash at work

Maurice Gravier, Chief Investment Officer discusses how even with Covid in China, the war in Ukraine, and the tightening fever in Washington, there are opportunities for the long-run.

20.04.2022

Tech Will Still Perform Well With Earnings Growth

Tech Will Still Perform Well With Earnings Growth

Anita Krishna Gupta, Head of Equity Strategy discusses inflation risks, the ongoing impact of the Russia-Ukraine war and her global equity investment strategy. She speaks with Yousef Gamal El-Din on 'Bloomberg Daybreak: Middle East.'

13.04.2022

Raising U.S. Equities

Raising U.S. Equities

Anita Krishna Gupta, Head of Equity Strategy, CIO Office discusses how the Russia-Ukraine conflict is roiling the markets, U.S. Jobs data and her investment strategy. She speaks with Yousef Gamal El-Din on 'Bloomberg Daybreak: Middle East.'

04.03.2022

A glimpse inside the cryptoverse

A glimpse inside the cryptoverse

Maurice Gravier, Chief Investment Officer, shares his insights into the vibrant world of the cryptoverse as seen from the eyes of an old-school investment professional.

16.02.2022

We're Positive Financials

We're Positive Financials

Anita Krishna Gupta, Head of Equity Strategy, CIO Office discusses her investment outlook ahead of the upcoming U.S. CPI data out on Feb. 10. She speaks with Yousef Gamal El-Din and Manus Cranny on 'Bloomberg Daybreak: Middle East.'

10.02.2022

A year of low visibility for investors

A year of low visibility for investors

Maurice Gravier, Chief Investment Officer, discusses what to look out for in global markets during 2022.

17.01.2022

Maintained U.S. Overweight, Neutral on Other DM

Maintained U.S. Overweight, Neutral on Other DM

Anita Gupta, Head of Equity Strategy, discusses her asset allocation strategy for U.S. and discusses how higher rates and inflation could affect profit margins. She speaks with Manus Cranny on Bloomberg Daybreak: Middle East.

17.01.2022

UK Quarterly Property Market Review Q4 2021

UK Quarterly Property Market Review Q4, 2021

Property has been one of the best performing asset classes in the UK so far this year as the recovery continues.

29.11.2021

Stocks can take gradual hikes

Stocks can take gradual hikes

Anita Gupta, Head of Equity Strategy, discusses how rate decisions could impact stocks and gives her global investment strategy. She speaks with Yousef Gamal El-Din on ‘Bloomberg Daybreak: Middle East’

21.11.2021

Discussion on U.S. Job Growth and China Exports Growth

Discussion on U.S. Job Growth and China Exports Growth

Maurice Gravier, Chief Investment Officer, discusses the Fed’s stance on inflation, U.S. job report and infrastructure bill, as well as China's trade numbers. He speaks with Manus Cranny on 'Bloomberg Daybreak: Middle East'.

08.11.2021

Turning point or temporary pause? An update on the global recovery

Turning point or temporary pause? An update on the global recovery

We expect volatility, but as the economic outlook is not what keeps us up at night, we remain constructive for the quarters ahead

19.10.2021

Global equities buoyed by positive China data and increase of new age stocks in indices

Global equities buoyed by positive China data and increase of new age stocks in indices

Anita Gupta, Head of Equity Strategy, discusses her global investment outlook on Bloomberg Daybreak Middle East.

08.09.2021

UK Real Estate Market Report: Q3 2021

UK Real Estate Market Report: Q3 2021

The UK Real Estate market has performed strongly in Q2 2021, as COVID restrictions have eased, and activity begins its recovery. Get more details from our experts in the full report.

30.08.2021

Latest U.S. jobs data which posted its biggest gain in a year

Latest U.S. jobs data which posted its biggest gain in a year

Anita Gupta, Head of Equity Strategy, discusses the latest U.S. jobs data which posted its biggest gain in a year with Yousef Gamal El-Din on Bloomberg Daybreak: Middle East.

10.08.2021

China Equities: The Way Forward

China Equities: The Way Forward

Concerns around China companies listed in the US around data privacy

05.08.2021

Will volatility from crypto assets spillover to global markets?

Will volatility from crypto assets spillover to global markets?

Volatility in the crypto complex is enormous, simply unprecedented in any "liquid asset". Even calculating it is a challenge

06.06.2021

UK QUARTERLY PROPERTY MARKET REVIEW Q2 2021

UK QUARTERLY PROPERTY MARKET REVIEW Q2 2021

Encouraging amount of investment activity in Q1 2021

06.06.2021

CIO reveals biggest investing lessons of 2020

CIO reveals biggest investing lessons of 2020

The one thing we always follow is to encourage our clients to diversify

25.02.2021

Investing in the age of magic money - outlook for 2021 and beyond

Investing in the age of magic money - outlook for 2021 and beyond

The tactical playbook may have changed, from the “buy the dip” of last year to something more of a “sell on strength”

22.02.2021

المقالات الحديثة

Winds of change

Winds of change

The current volatility results from a drastic change in the relation between central banks and markets

23.05.2022

Fear, Uncertainty and Doubt

Fear, Uncertainty and Doubt

Last week was extremely volatile -again- and overall negative for most markets…

17.05.2022

Fed’s tightening and global slowdown an unfortunate mix

Fed’s tightening and global slowdown an unfortunate mix

Powell’s terminal rate “between 2% and 3%” fails to woo investors

09.05.2022

المقالات السابقة

Slowing, tightening, falling

Slowing, tightening, falling

Markets are under pressure from hawkish central banks’ rhetoric, war uncertainty and slowing growth

26.04.2022

Updating our scenario for 2022

Updating our scenario for 2022

2022 will see slower growth, higher inflation, and accelerated tightening from central banks

18.04.2022

Navigating in low visibility

Navigating in low visibility

The FOMC minutes confirmed an accelerated tightening, sending shockwaves across markets

11.04.2022

Economy slows down and conflict rages on

Economy slows down and conflict rages on

Conflict rages on in spite of Russia’s focus on separatist republics

04.04.2022

Equity rally challenges Fed and Ukraine conflict

Equity rally challenges Fed and Ukraine conflict

Tail risk of sharper slowdown growing but recession not in the offing

28.03.2022

More visibility from the Fed temporarily helps risk-assets

More visibility from the Fed temporarily helps risk-assets

The Fed was hawkish but confident, delivering an aggressive but clear roadmap on interest rates.

21.03.2022

The shock is inevitable but hopefully manageable

The shock is inevitable but hopefully manageable

The crisis in Ukraine is inevitably impacting inflation and growth on a global scale.

14.03.2022

Worst may not be over, but uncertainty should be peaking

Worst may not be over, but uncertainty should be peaking

A week of war ended with peak uncertainty as the US considers en embargo on Russian oil.

07.03.2022

Going overweight equity

Going overweight equity

It’s a war: Russia’s unexpected full-scale invasion of Ukraine shocked the world and roiled markets.

28.02.2022

Inflation and geopolitical risks take center stage

Inflation and geopolitical risks take center stage

Inflation concerns remain high in the West but much less so in China.

21.02.2022

Rising tensions

Rising tensions

Inflation is here, faster and broader than expected, culminating with US CPI up 7.5% year on year.

14.02.2022

Switching gears

Switching gears

Last week confirmed a broad hawkish shift from Western central banks, at rapid pace.

07.02.2022

A volatile transition

A volatile transition

Last week was, again, extremely volatile after the Fed confirmed its hawkish stance.

31.01.2022

Low visibility ahead, confirmed

Low visibility ahead, confirmed

Risk aversion was exacerbated last week, with a sell-off in the most widely held assets.

24.01.2022

A mixed start, to a year of low visibility

A mixed start, to a year of low visibility

2022 starts with inflation, growth and policy challenges questioning elevated valuations.

18.01.2022

A year of low visibility ahead

A year of low visibility ahead

After the procyclical exuberance of 2021, 2022 should transition to more normal returns

10.01.2022

Healthy, Happy, Prosperous 2022

Healthy, Happy, Prosperous 2022

2021 has been another positive year for investments, backed by an impressive economic recovery

03.01.2022

Yes, we think it’s alright

Yes, we think it’s alright

Fears over the impact of Omicron on the economic outlook are abating

12.12.2021

Major concern or false alarm?

Major concern or false alarm?

Uncertainty prevails on financial markets as Omicron is spreading globally

05.12.2021

Dark Friday: new virus variant triggers market panic

Dark Friday: new virus variant triggers market panic

A new variant of SARS-Cov2 was first identified in South Africa and is already spreading

28.11.2021

Digesting a more uncertain outlook

Digesting a more uncertain outlook

Last week was overall negative across financial markets

21.11.2021

Inflation, infections, inflexion

Inflation, infections, inflexion

Last week was dominated by stand-out inflation reports from the US and China

14.11.2021

Equities surge shrugging off stagflation winds

An ideal start to November

Last week was positive across all major asset classes: stocks, bonds, and gold

07.11.2021

Equities surge shrugging off stagflation winds

Equities surge shrugging off stagflation winds

Business cycle slowed further in Q3 with price pressures far from 'transitory'

31.10.2021

The third quarter in full details

The third quarter in full details

Last week was positive on global markets, led by risk assets

24.10.2021

The power of earnings growth

The power of earnings growth

Global stocks had their best week in 3 months, helped by a spectacular start to the Q3 earnings season

17.10.2021

An outlook combining growth with inflation

An outlook combining growth with inflation

Last week’s PMI were overall robust across the world, but price pressures remain significant

10.10.2021

Stagflation and debt ceiling at the forefront of investor minds

Stagflation and debt ceiling at the forefront of investor minds

Q3 starts with questions about an unfavorable mix of growth and inflation and debt-ceiling angst

03.10.2021

An eventful week from China to the US

An eventful week from China to the US

Volatility spiked last week, fueled by Evergrande debt crisis and by an important Fed meeting

26.09.2021

Stagflation concerns chill markets

Stagflation concerns chill markets

Last week was negative across asset-classes, with decelerating growth and rising inflation prospects

19.09.2021

Concerns over potential Twin Peaks

Concerns over potential Twin Peaks

Concerns rose over a potential peak in both economic momentum and monetary support last week

12.09.2021

Challenges to growth don’t derail markets

Challenges to growth don’t derail markets

Last week’s avalanche of economic data confirmed that growth is losing momentum

05.09.2021

Cyclical assets look through the current economic softness

Cyclical assets look through the current economic softness

The summer so far is volatile but not negative for global markets

30.08.2021

New equity records amidst stronger releases

New equity records amidst stronger releases

Services recovery in full swing both in the United States and in Europe

08.08.2021

China clampdown versus Fed persistent dovishness

China clampdown versus Fed persistent dovishness

Fed confirms overly-accommodative stance with economy still a way to go

01.08.2021

Volatile, but resilient

Volatile, but resilient

Volatility rose last week, as global infection rates rose with the “delta wave”

25.07.2021

Growth concerns?

Growth concerns?

Last week saw lower interest rates and an outperformance of defensive segments

18.07.2021

Turbulence ahead, risk-taking more selective

Turbulence ahead, risk-taking more selective

H1-2021 ended well, but H2 starts with volatility and dispersion

11.07.2021

A delta-shaped backdrop

A delta-shaped backdrop

H2-2021 starts with a trifecta of questions on the economy, the direction of policy, and the virus

04.07.2021

Better policy visibility supports markets

Better policy visibility supports markets

Global stocks gained following US Congress significant progress on infrastructure stimulus

27.06.2021

You can’t have it all, can you?

You can’t have it all, can you?

The “goldilocks” narrative of high growth coupled with relentless stimulus took a breather last week

20.06.2021

One surprise can conceal another

One surprise can conceal another

Inflation was stronger than expected in May, but the real surprise was to see interest rates falling

13.06.2021

A broad pick-up in growth and inflation

A broad pick-up in growth and inflation

Last week’s PMI reports signal a global boom in the current quarter…

06.06.2021

Goldilocks

Goldilocks

Economic growth confirms strength in the West but interest rates are not rising anymore

30.05.2021

No spill-over effects from crypto volatility for now

No spill-over effects from crypto volatility for now

Last week was quiet and overall slightly positive on conventional assets

23.05.2021

Turbulence is not the end of the flight

Turbulence is not the end of the flight

Negative economic data in the US triggered serious volatility last week

16.05.2021

Hold in May, don’t go away

Hold in May, don’t go away

Most of asset classes started the month with modestly positive returns

10.05.2021

Positive surprises, tepid returns

Positive surprises, tepid returns

Both macro-economic data and corporate earnings were very positive last week

02.05.2021

moment-of-truth

Moment of truth

The week ahead will provide a clear picture on the economy and corporate earnings in Q1

25.04.2021

A perfect week

A perfect week

Last week saw upbeat economic data, positive corporate earnings and falling interest rates

18.04.2021

Record eco growth ahead, markets already at record highs

Record eco growth ahead, markets already at record highs

Last week confirmed the start of a booming growth episode, as well as patience from the Fed

11.04.2021

Farewell, winter

Farewell, winter

The first quarter ended with positive economic data, confirming a build in growth momentum

04.04.2021

Getting ready for a booming economy in Q2

Getting ready for a booming economy in Q2

The first quarter is about to end with mixed, divergent market returns

28.03.2021

Divergences

Divergences

Central Banks around the world have different views and responses to inflation

21.03.2021

The beginning of the beginning

The beginning of the beginning

President Biden’s stimulus plan got final approval with individual payments already on their way

14.03.2021

Are markets ready for the rebound?

Are markets ready for the rebound?

Global PMIs and a spectacular US job reports indicate a stronger than expected activity

07.03.2021

A spike in interest rates volatility

A spike in interest rates volatility

Rising growth and inflation forecasts pushed global yields brutally higher last week.

28.02.2021

Setting the stage for a strong recovery

Setting the stage for a strong recovery

Daily global new infections are clearly decelerating

21.02.2021

Little inflation and booming markets

Little inflation and booming markets

Markets were supported by lack of inflationary pressures and unabated stimulus

14.02.2021

Economic resilience supports a robust outlook

Economic resilience supports a robust outlook

Last week was very positive for risk assets in a clear “risk-on” pattern

07.02.2021

Here comes the red

Here comes the red

Global stocks had their worst week since October as retail traders attacked hedge funds’ short positions

31.01.2021

The transition week

The transition week

President Trump left the White House with ultra-low ratings but stock markets at record highs

24.01.2021

Game of Trillions

Game of Trillions

President-elect Biden announced $1.9tn fiscal stimulus, and the Fed confirmed it won’t reduce support soon

17.01.2021

The first week of 2021

The first week of 2021

Last week was eventful with a Democratic sweep and overall disappointing economic data

10.01.2021

A new year, a new strategic asset allocation

A new year, a new strategic asset allocation

2020 was terrible for the world but exceptionally positive for financial markets

03.01.2021

التوقعات اليومية

24 مايو 2022

Asian markets mostly lower this morning following a down day yesterday for Hong Kong and China, with Japan a standout, which was up.

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23 مايو 2022

A seventh week of decline for global equities which fell a percent last week, taking year to date performance to -17% with mounting concerns around the growth outlook and recession risk and Central Bank hawkishness to combat inflation.

اقرأ الملفّ اخلاء مسؤولية

 
20 مايو 2022

The negative orientation of markets moderated on Thursday, with global stocks retreating -0.6% on average, as US indices recovered from their session low to close at -0.4%.

اقرأ الملفّ اخلاء مسؤولية

 
19 مايو 2022

US markets close -4% lower on Wednesday, their worse intraday performance in almost 2 years.

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18 مايو 2022

Risk appetite was back on Tuesday, with global stocks rising +1.3% on average in developed markets, led by a +2.2% gain in the US.

اقرأ الملفّ اخلاء مسؤولية

 
17 مايو 2022

Last week was extremely volatile and overall negative for most markets.

اقرأ الملفّ اخلاء مسؤولية

 
13 مايو 2022

Asia is in an upbeat mood this morning in a week that has so far seen volatility across stocks, bonds and cryptocurrencies.

اقرأ الملفّ اخلاء مسؤولية

 
12 مايو 2022

Asian stocks are falling this morning following yesterday’s Wall Street slide on bad inflation readings spurring bets for more aggressive tightening.

اقرأ الملفّ اخلاء مسؤولية

 
11 مايو 2022

Investors looking for an impending rebound can maybe rejoice.

اقرأ الملفّ اخلاء مسؤولية

 
10 مايو 2022

US futures are climbing as of the time of writing following the paring of early losses in China with no obvious catalyst, although the other main Asia markets remain mostly in the red.

اقرأ الملفّ اخلاء مسؤولية

 
09 مايو 2022

US futures and Asian markets are off to a bad start this morning.

اقرأ الملفّ اخلاء مسؤولية

 
06 مايو 2022

Volatility in the last 48 hours reached extreme levels across all asset classes, culminating with a severe sell-off this Thursday on US assets.

اقرأ الملفّ اخلاء مسؤولية

 

أبريل 2022

 
29 أبريل 2022

Thursday was positive for most markets.

اقرأ الملفّ اخلاء مسؤولية

 
28 أبريل 2022

Volatility remains extreme on global markets with constant changes of directions.

اقرأ الملفّ اخلاء مسؤولية

 
27 أبريل 2022

After an initial positive start, Tuesday ended badly for financial markets.

اقرأ الملفّ اخلاء مسؤولية

 
26 أبريل 2022

Monday started on a clear risk-off tone but the US session was better.

اقرأ الملفّ اخلاء مسؤولية

 
25 أبريل 2022

It’s a difficult year for investments so far, and the third week of April was no exception. All major asset classes had negative weekly returns.

اقرأ الملفّ اخلاء مسؤولية

 
22 أبريل 2022

Monetary tightening and inflation continue to drive markets globally.

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21 أبريل 2022

Global equities gained yesterday with the US S&P 500 flat, the Nasdaq losing around a percent and European equities trading up 0.8%.

اقرأ الملفّ اخلاء مسؤولية

 
20 أبريل 2022

Overnight treasuries lower (US 10 year yield at 2.93%) on more hawkish Fed speak, gold lower, global equities higher and the Vix lower, oil lower but steady with Brent at $108/ barrel.

اقرأ الملفّ اخلاء مسؤولية

 
19 أبريل 2022

Yesterday saw Asian markets i.e. mainland China, Japan and India equities traded down and moving West (European markets were closed), US equities were flat after having fallen 3% in April month to date.

اقرأ الملفّ اخلاء مسؤولية

 
18 أبريل 2022

Equities sold off broadly last week, between 1 – 2% across most regions, with technology a little worse off.

اقرأ الملفّ اخلاء مسؤولية

 
15 أبريل 2022

Thursday was the end of the week for many markets which will be closed for the Easter weekend, especially in the West.

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14 أبريل 2022

Wednesday was not bad for most asset classes.

اقرأ الملفّ اخلاء مسؤولية

 
13 أبريل 2022

The US March CPI number came out yesterday and showed a year-on-year increase in consumer prices of +8.5%.

اقرأ الملفّ اخلاء مسؤولية

 
12 أبريل 2022

Monday was a tough start to the week for financial markets, with concerns about inflation and central bank tightening weighing on all asset classes.

اقرأ الملفّ اخلاء مسؤولية

 
11 أبريل 2022

Volatility remains the name of the game this year.

اقرأ الملفّ اخلاء مسؤولية

 
08 أبريل 2022

After the storm the calm, so markets stabilized following the release of the Fed minutes that caused heightened volatility on Wednesday.

اقرأ الملفّ اخلاء مسؤولية

 
07 أبريل 2022

It is a bad start to April for financial markets.

اقرأ الملفّ اخلاء مسؤولية

 
06 أبريل 2022

Sessions remain highly volatile depending on the news flow and the kind of expectations, or hopes, market participants erratically cling to.

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05 أبريل 2022

Stocks in Asia are mixed this morning and crude climbed as investors gauge the prospect for new sanctions on Russia, while US and European futures are fluctuating.

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04 أبريل 2022

Asian stocks are up this morning boosted by a rally in Hong Kong following the easing of a dispute between China and the US over audits, while US futures are little-changed and Treasuries are falling on the outlook for accelerated rate hikes by the Fed.

اقرأ الملفّ اخلاء مسؤولية

 
01 أبريل 2022

Asian stocks are led down by Japanese equities this morning, while US futures are in the green and the treasury curve remains close to inversion.

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مارس 2022

 
31 مارس 2022

Asian markets are trading down a percent this morning, across the board from Japan to Hong Kong and domestic China shares following a broadly positive day yesterday.

اقرأ الملفّ اخلاء مسؤولية

 
30 مارس 2022

Russia-Ukraine negotiations yesterday were termed "constructive" and ignited hopes for an eventual resolution.

اقرأ الملفّ اخلاء مسؤولية

 
29 مارس 2022

Following yesterdays’ positive close for the U.S. and European equity markets, Asian markets are trading up this morning.

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28 مارس 2022

A second week of gains for global equities and a sell off in bond markets with the 10 year US treasury yield at 2.52% and the 2 year at 2.35% this morning, continuing last week’s rise.

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25 مارس 2022

Global stocks from developed markets were unchanged on average this Thursday due to a positive end to the US session, closing +1.4% higher.

اقرأ الملفّ اخلاء مسؤولية

 
24 مارس 2022

The recent pattern of bond sell-off and equity rally made a pause Wednesday.

اقرأ الملفّ اخلاء مسؤولية

 
23 مارس 2022

The bond sell-off continued on Tuesday, while equities were broadly supported as market participants adjust to the Fed scenario combining resilient growth with inflation.

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22 مارس 2022

The first day of the week was relatively quiet on stock markets, which were overall -0.1% lower in DM and +0.1% better in EM.

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21 مارس 2022

Last week was dominated by two topics, the war in Ukraine and the US Federal Reserve meeting.

اقرأ الملفّ اخلاء مسؤولية

 
18 مارس 2022

Thursday was broadly positive for most asset classes.

اقرأ الملفّ اخلاء مسؤولية

 
17 مارس 2022

Wednesday was Fed day: the central bank hiked 25 basis points as expected, and delivered an overall hawkish message which combined realism on inflation with confidence in growth.

اقرأ الملفّ اخلاء مسؤولية

 
16 مارس 2022

Extreme volatility remains the name of the game, and Tuesday was no exception, with a radical shift from risk aversion to risk appetite during the US trading session.

اقرأ الملفّ اخلاء مسؤولية

 
15 مارس 2022

Financial markets were mixed on Monday, with the key move being the sharp increase in bond yields.

اقرأ الملفّ اخلاء مسؤولية

 
14 مارس 2022

Last week was a sea of red for market returns across all asset classes, with the only exception of gold, up +0.9%.

اقرأ الملفّ اخلاء مسؤولية

 
11 مارس 2022

Broad risk off sentiment in equity markets, as another round of talks between Russia and Ukraine ended with no positive developments after increased optimism yesterday of a diplomatic breakthrough.

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10 مارس 2022

Global equities rebounded yesterday from levels which were in bear territory for some indices including the German Dax.

اقرأ الملفّ اخلاء مسؤولية

 
09 مارس 2022

Many commodities remain at high levels with Brent oil trading at $130, and gasoline and jet fuel in the US consequently at record highs.

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08 مارس 2022

Global equities fell 2.7% yesterday, one of their worst days in the past year as US and Western allies debated whether to ban Russian commodity imports with inflation concerns around energy, agricultural and key metals rising.

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07 مارس 2022

The war in Ukraine with Russian troops continuing to use military power into incursions into the country and last week taking control of the nuclear power plant is not only having a severe humanitarian toll but also changing the face of geopolitics.

اقرأ الملفّ اخلاء مسؤولية

 
04 مارس 2022

Sentiment is versatile, and risk aversion came back on Thursday. Global stocks fell -0.5% on average, with the US closing down -0.8% while Europe had a more severe -2% drop.

اقرأ الملفّ اخلاء مسؤولية

 
03 مارس 2022

The war in Ukraine is intensifying and commodity prices continue to skyrocket.

اقرأ الملفّ اخلاء مسؤولية

 
02 مارس 2022

The war in Ukraine intensifies, with reports of devastating fire, including the bombing of residential areas.

اقرأ الملفّ اخلاء مسؤولية

 
01 مارس 2022

The month of February ended on a volatile note. Safe havens were sought after but damage on risk assets was limited.

اقرأ الملفّ اخلاء مسؤولية

 

فبراير 2022

 
28 فبراير 2022

Russia shocked the world last week with a broadly unexpected full-scale invasion of Ukraine.

اقرأ الملفّ اخلاء مسؤولية

 
25 فبراير 2022

Asian markets are in positive territory this morning, US equity futures slipping, gold and oil are rising, as the Ukrainian conflict clouds the outlook for the global economic recovery.

اقرأ الملفّ اخلاء مسؤولية

 
24 فبراير 2022

US futures and Asian markets are plunging this morning as the Ukrainian crisis deepens.

اقرأ الملفّ اخلاء مسؤولية

 
23 فبراير 2022

US equity futures are rising and Asian stocks mixed this morning as investors gauge the impact of sanctions imposed by the US and allies on Ukraine.

اقرأ الملفّ اخلاء مسؤولية

 
22 فبراير 2022

Stocks have continued to drop as the Ukrainian crisis still takes center stage.

اقرأ الملفّ اخلاء مسؤولية

 
21 فبراير 2022

The minutes of the January FMOC meeting, and the unfolding of the Russia-US standoff must have been top of mind for investors, with the hope that the economy remains resilient enough to tide markets over very stormy waters.

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18 فبراير 2022

US equity futures are climbing this morning, and safer assets like gold and treasuries are slipping on the prospect of a meeting agreed late Thursday between American and Russian officials in the attempt to break the current stalemate

اقرأ الملفّ اخلاء مسؤولية

 
17 فبراير 2022

US equity futures are little changed as of the time of writing, and Asian stocks are mixed to positive in the morning session.

اقرأ الملفّ اخلاء مسؤولية

 
16 فبراير 2022

After a Kremlin declaration affirming that diplomacy is always possible, Russia’s defense ministry signaled yesterday the withdrawal of some of the troops.

اقرأ الملفّ اخلاء مسؤولية

 
15 فبراير 2022

The situation in Ukraine, combined with prospects for faster tightening from Western central banks, continued to weigh on markets on Monday.

اقرأ الملفّ اخلاء مسؤولية

 
14 فبراير 2022

Last week was another highly volatile one, with risk-aversion culminating after the US CPI hit the screens on Thursday, with the geopolitical standoff around Ukraine as a backdrop.

اقرأ الملفّ اخلاء مسؤولية

 
11 فبراير 2022

This morning stocks are under pressure and bonds extending Thursday’s losses following the jump in US inflation.

اقرأ الملفّ اخلاء مسؤولية

 
10 فبراير 2022

A broad based rally across markets from Asia to the US yesterday has been followed by a flat to positive Asia open this morning.

اقرأ الملفّ اخلاء مسؤولية

 
09 فبراير 2022

Global markets continue to seesaw from losses one day to gains the next.

اقرأ الملفّ اخلاء مسؤولية

 
08 فبراير 2022

Global equities ended a little down with both emerging and developed markets in line.

اقرأ الملفّ اخلاء مسؤولية

 
07 فبراير 2022

Government yields rose across US and Europe yet equities had a good week as markets are taking inflation more in stride and earnings are supportive.

اقرأ الملفّ اخلاء مسؤولية

 
04 فبراير 2022

After a relatively quiet start to the week, risk aversion came back on Thursday.

اقرأ الملفّ اخلاء مسؤولية

 
03 فبراير 2022

Wednesday was relatively quiet.

اقرأ الملفّ اخلاء مسؤولية

 
02 فبراير 2022

Tuesday was a good start to February for financial markets.

اقرأ الملفّ اخلاء مسؤولية

 
01 فبراير 2022

The last day of January was positive for global markets.

اقرأ الملفّ اخلاء مسؤولية

 

يناير 2022

 
31 يناير 2022

Volatility continues to be the main characteristic of 2022 so far.

اقرأ الملفّ اخلاء مسؤولية

 
28 يناير 2022

Asian stocks are mixed this morning, while US futures are climbing, supported by strong after-market earnings from Apple helping the Nasdaq 100 outperform the S&P 500 futures.

اقرأ الملفّ اخلاء مسؤولية

 
27 يناير 2022

US equity futures and Asian stocks are retreating this morning, as investors are digesting an unexpectedly more hawkish Powell.

اقرأ الملفّ اخلاء مسؤولية

 
26 يناير 2022

US equity futures are climbing and Asian stocks mixed this morning following one more volatile session on Wall Street Tuesday.

اقرأ الملفّ اخلاء مسؤولية

 
25 يناير 2022

Asian stocks and US equity futures are declining this morning amidst rising geopolitical tensions, following yesterday’s wild swings.

اقرأ الملفّ اخلاء مسؤولية

 
24 يناير 2022

Asian markets are mixed this morning, while US futures are rebounding as traders look forward to Wednesday’s FOMC meeting statement to gain clues about the timing of the Fed’s planned tightening.

اقرأ الملفّ اخلاء مسؤولية

 
21 يناير 2022

Wednesday’s pause in the global sell-off was short lived.

اقرأ الملفّ اخلاء مسؤولية

 
20 يناير 2022

Global stocks from developed markets fell by an average -0.4% on Wednesday.

اقرأ الملفّ اخلاء مسؤولية

 
19 يناير 2022

Global markets are in the process of repricing their monetary policy expectations.

اقرأ الملفّ اخلاء مسؤولية

 
18 يناير 2022

Stock markets were well oriented in developed regions on Monday, except for the US closed for a holiday.

اقرأ الملفّ اخلاء مسؤولية

 
17 يناير 2022

The first week of 2022 was a sea of red across asset classes.

اقرأ الملفّ اخلاء مسؤولية

 
14 يناير 2022

Asia equities trading lower this morning with mainland China weaker on the open, with India, Taiwan, Japan and South Korea also down.

اقرأ الملفّ اخلاء مسؤولية

 
13 يناير 2022

Global markets had a very positive Wednesday.

اقرأ الملفّ اخلاء مسؤولية

 
12 يناير 2022

It’s been an up day as everything rose- treasuries, global equities, gold, oil and cryptocurrencies.

اقرأ الملفّ اخلاء مسؤولية

 
11 يناير 2022

Markets remain volatile with intraday and daily swings from negative to positive territory and vice versa.

اقرأ الملفّ اخلاء مسؤولية

 
10 يناير 2022

Global equities have started off 2022 down 1.5% in the first week of trading, with U.S. equities faring worse -1.8% for the week with the high growth tech sector selling off, the Nasdaq Index fell 4.5%.

اقرأ الملفّ اخلاء مسؤولية

 
07 يناير 2022

Thursday’s session on global stock markets saw Europe and Asia falling, following the previous close of the US, while Wall Street had a better end to its session, roughly unchanged.

اقرأ الملفّ اخلاء مسؤولية

 
06 يناير 2022

The volatility we expect throughout 2022 seems to have already started.

اقرأ الملفّ اخلاء مسؤولية

 
05 يناير 2022

After a strong Monday, Tuesday was tepid on financial markets.

اقرأ الملفّ اخلاء مسؤولية

 
04 يناير 2022

Monday was a strong start to the year for risk assets.

اقرأ الملفّ اخلاء مسؤولية

 
03 يناير 2022

Let us start by wishing you and a very healthy, happy and prosperous new year

اقرأ الملفّ اخلاء مسؤولية

 

نوفمبر 2021

 
16 ديسمبر 2021

In spite of a sharp policy pivot, Jerome Powell at the end of yesterday’s FOMC meeting managed to deliver a message not more hawkish than the consensus was already expecting, hence markets ended the session with a relief rally.

اقرأ الملفّ اخلاء مسؤولية

 
15 ديسمبر 2021

Market volatility has steadily increased since Powell’s tones have become more hawkish on prospective policy for 2022, and risk off sentiment yesterday was broad across asset classes as investors awaited the Fed chair’s message to be delivered today after the FOMC.

اقرأ الملفّ اخلاء مسؤولية

 
14 ديسمبر 2021

Most Asian stocks are slipping this morning and caution prevailed in global markets yesterday ahead of a flurry of central bank meetings, with the Fed expected to deliver a hawkish message of accelerated tapering on Wednesday.

اقرأ الملفّ اخلاء مسؤولية

 
13 ديسمبر 2021

Stocks have opened higher this morning in Asia, with the Nikkei 225 leading, while US futures are edging higher.

اقرأ الملفّ اخلاء مسؤولية

 
12 ديسمبر 2021

Global stocks came back strongly following the Omicron scare, with US equities recording their best week since February, in spite of still high inflation readings, and technology and consumer staples leading the advance.

اقرأ الملفّ اخلاء مسؤولية

 
09 ديسمبر 2021

Daily returns yesterday were a bit quieter than earlier this week.

اقرأ الملفّ اخلاء مسؤولية

 
08 ديسمبر 2021

Risk appetite was definitely back on Tuesday with a greatly pro-cyclical session.

اقرأ الملفّ اخلاء مسؤولية

 
07 ديسمبر 2021

Some risk appetite came back on global markets this Monday.

اقرأ الملفّ اخلاء مسؤولية

 
06 ديسمبر 2021

Last week was mixed and differentiating on global markets: the fixed income asset class was supported by falling interest rates while a wave of profit taking sent tech stocks and cryptocurrencies lower.

اقرأ الملفّ اخلاء مسؤولية

 
05 ديسمبر 2021

The working week was short in the UAE with the celebrations of the country’s Golden Jubilee.

اقرأ الملفّ اخلاء مسؤولية

 

نوفمبر 2021

 
30 نوفمبر 2021

Most global equity indices traded up yesterday, barring Hong Kong and Japan, after Friday’s rout, following news of the discovery of the Omicron coronavirus variant in South Africa.

اقرأ الملفّ اخلاء مسؤولية

 
29 نوفمبر 2021

Last week ended with global equities falling 2.2.%on Friday as markets reacted to news of South Africa reporting cases of the Omicron variant of the coronavirus.

اقرأ الملفّ اخلاء مسؤولية

 
28 نوفمبر 2021

Discovery of a new COVID variant called “Omicron”, by scientists, with a number of cases recorded in South Africa, sent a wave of caution through global markets on Friday.

اقرأ الملفّ اخلاء مسؤولية

 
25 نوفمبر 2021

Financial markets were quieter yesterday, with broadly flat returns across asset classes.

اقرأ الملفّ اخلاء مسؤولية

 
24 نوفمبر 2021

Nervosity keeps on dominating markets, torn between a positive scenario of robust recovery, and a sinister one combining rising infections and faster than expected tapering from central banks.

اقرأ الملفّ اخلاء مسؤولية

 
23 نوفمبر 2021

Monday was negative across global markets.

اقرأ الملفّ اخلاء مسؤولية

 
22 نوفمبر 2021

Last week was negative across most asset classes with a double stream of concerns.

اقرأ الملفّ اخلاء مسؤولية

 
21 نوفمبر 2021

The returns of last week were negative for most major asset classes.

اقرأ الملفّ اخلاء مسؤولية

 
18 نوفمبر 2021

Asian stocks are mixed this morning and Treasuries are steady, as inflation remains at the forefront of trader minds bringing closer the prospect for tighter policy.

اقرأ الملفّ اخلاء مسؤولية

 
17 نوفمبر 2021

Global stocks were in the green again, and rightly so, with both macro- and earnings releases delivering the clear message that stagflation may be in investor minds.

اقرأ الملفّ اخلاء مسؤولية

 
16 نوفمبر 2021

Most Asian markets are rising this morning and the yuan is appreciating as traders monitor the first virtual summit between President Joe Biden and the Chinese leader Xi Jinping.

اقرأ الملفّ اخلاء مسؤولية

 
15 نوفمبر 2021

Asian shares are mixed this morning, although the PBoC rolled over all of the policy loans falling due this month in a bid to support growth.

اقرأ الملفّ اخلاء مسؤولية

 
14 نوفمبر 2021

The MSCI World Index put in a lacklustre performance for the week, yet much less so at a country level.

اقرأ الملفّ اخلاء مسؤولية

 
11 نوفمبر 2021

The single most important number of this week was out yesterday, and it was spectacular.

اقرأ الملفّ اخلاء مسؤولية

 
10 نوفمبر 2021

This is the week of monthly inflation indices around the world, and it started yesterday with the US October PPI - Producer Price Index.

اقرأ الملفّ اخلاء مسؤولية

 
09 نوفمبر 2021

Monday was not bad for global markets, with modest but positive returns across most asset classes.

اقرأ الملفّ اخلاء مسؤولية

 
08 نوفمبر 2021

Last week was positive for all asset classes, with robust corporate and economic data supporting cyclical assets on one side

اقرأ الملفّ اخلاء مسؤولية

 
07 نوفمبر 2021

Cyclical assets were supported by two factors. First, Q3 corporate numbers confirmed day after day a strong earnings growth.

اقرأ الملفّ اخلاء مسؤولية

 
04 نوفمبر 2021

Global markets had a long-planned date with Fed’s chairman Powell yesterday after their November FOMC meeting, and we have an update.

اقرأ الملفّ اخلاء مسؤولية

 
03 نوفمبر 2021

A rally for Dubai property stocks led to the Index gaining almost 4% yesterday with Emaar Properties and Emaar Malls up over 7% and the DFM stock almost limit up

اقرأ الملفّ اخلاء مسؤولية

 
02 نوفمبر 2021

This morning Asia markets are +/- half a percent with India equities up as are Hong Kong whilst Japan and mainland China are trading down.

اقرأ الملفّ اخلاء مسؤولية

 
01 نوفمبر 2021

The first trading day of the month has Japan’s Nikkei with a strong open, domestic China equities flat and the Hang Seng Index down a percent, weighed down by property developers.

اقرأ الملفّ اخلاء مسؤولية

 

أكتوبر 2021

 
31 أكتوبر 2021

Global markets had a good week and a good month. Developed Markets added to their year-to-date gains and were up 5.7%

اقرأ الملفّ اخلاء مسؤولية

 
28 أكتوبر 2021

Sentiment was negative on global markets this Wednesday, with stocks down -0.5% in developed markets and -1% in emerging ones.

اقرأ الملفّ اخلاء مسؤولية

 
27 أكتوبر 2021

Global stocks added 0.1% in developed markets and slipped -0.2% in emerging regions on Tuesday.

اقرأ الملفّ اخلاء مسؤولية

 
26 أكتوبر 2021

Monday was positive on global markets with stocks gaining 0.4% in developed markets and 0.9% in emerging.

اقرأ الملفّ اخلاء مسؤولية

 
25 أكتوبر 2021

Last week was positive for stocks, supported by a strong start to the Q3 earnings season, while defensive assets were under modest but continuous pressure from steady interest rates.

اقرأ الملفّ اخلاء مسؤولية

 
24 أكتوبر 2021

Last week was relatively positive for financial markets, led by risk assets.

اقرأ الملفّ اخلاء مسؤولية

 
20 أكتوبر 2021

Asian stocks are in the green this morning following the US rally, with Japan, South Korea and Australia advancing.

اقرأ الملفّ اخلاء مسؤولية

 
19 أكتوبر 2021

Asian stocks are advancing this morning as investors look forward to the forthcoming earnings releases and entertain expectations for more Chinese stimulus.

اقرأ الملفّ اخلاء مسؤولية

 
18 أكتوبر 2021

Most Asian markets and US futures are sliding this morning on surging energy prices and mounting inflation concerns as Chinese Growth is slowing.

اقرأ الملفّ اخلاء مسؤولية

 
17 أكتوبر 2021

Stocks recorded their best week in nearly three months, as strong earnings offset inflation concerns, and investors bid up the most cyclical sectors.

اقرأ الملفّ اخلاء مسؤولية

 
14 أكتوبر 2021

Stocks were well oriented on Wednesday, adding 0.4% on average across regions with the Euro area outperforming.

اقرأ الملفّ اخلاء مسؤولية

 
13 أكتوبر 2021

Global financial markets didn’t take a clear direction on Tuesday.

اقرأ الملفّ اخلاء مسؤولية

 
12 أكتوبر 2021

Monday was a mixed session for global markets.

اقرأ الملفّ اخلاء مسؤولية

 
11 أكتوبر 2021

The narrative of last week combined two elements: an uptick in the global growth momentum from overall good PMI data, as well as continuous supply constraints leading to inflation pressures and disappointing job creations in the US.

اقرأ الملفّ اخلاء مسؤولية

 
10 أكتوبر 2021

Volatility remains the name of the game on global markets, but the week that just ended made a clear difference between cyclical and defensive assets.

اقرأ الملفّ اخلاء مسؤولية

 
07 أكتوبر 2021

Volatility is definitely back in financial markets, and the current week is no exception.

اقرأ الملفّ اخلاء مسؤولية

 
06 أكتوبر 2021

Not much change in the narrative from yesterday except that an upbeat ISM report cheered U.S. markets which reversed Monday’s losses with the broader U.S. indices gaining over a percent.

اقرأ الملفّ اخلاء مسؤولية

 
05 أكتوبر 2021

Higher energy prices and shortages with rising inflation worries and the possible result on global growth, led to markets starting the week on a down note.

اقرأ الملفّ اخلاء مسؤولية

 
04 أكتوبر 2021

UAE markets on their first day of extended trading yesterday, an extra hour, had a positive close from the Abu Dhabi Index with ADNOC Drilling gaining 28% on its first day of listing.

اقرأ الملفّ اخلاء مسؤولية

 
03 أكتوبر 2021

September ended for not only those in the UAE but millions of watchers globally with the most inclusive opening of the Expo 2020, a musical and sensory extravaganza with powerful visuals beamed across Al Wasl Plaza’s dome, the world’s largest 360-degree projection screen.

اقرأ الملفّ اخلاء مسؤولية

 

سبتمبر 2021

 
30 سبتمبر 2021

The last day of the quarter and even with the recent pullback, global equities are up 12% year to date and the S&P 500 +17%, numbers we expected for the full year.

اقرأ الملفّ اخلاء مسؤولية

 
29 سبتمبر 2021

The rise in Treasury yields and analogous bond sell-off that began last week on the prospect of higher interest rates reverberated into the $ 51 trillion US stock market, more so technology stocks.

اقرأ الملفّ اخلاء مسؤولية

 
28 سبتمبر 2021

Global equities fairly uneventful yesterday with small gains in emerging markets offsetting a small fall in developed markets.

اقرأ الملفّ اخلاء مسؤولية

 
27 سبتمبر 2021

Last week was volatile under the double influence of China’s Evergrande meltdown on the East, and of the US Fed on the West.

اقرأ الملفّ اخلاء مسؤولية

 
26 سبتمبر 2021

Market returns of last week looked like business as usual.

اقرأ الملفّ اخلاء مسؤولية

 
23 سبتمبر 2021

Asian stocks are rising this morning after US shares digested the prospect of the reduction in US stimulus already in November and some concerns on property developer Evergrande eased.

اقرأ الملفّ اخلاء مسؤولية

 
22 سبتمبر 2021

Most Asian stocks are leaning weaker and US futures are mixed this morning after Evergrande, the cash-strapped Chinese property developer, negotiated an interest payment with some bondholders and the PBOC made cash injections in the system.

اقرأ الملفّ اخلاء مسؤولية

 
21 سبتمبر 2021

Asian stocks are mixed this morning, with China and South Korea shut for holidays, following the S&P 500 most negative session since May yesterday, though US equity futures are recording some gains.

اقرأ الملفّ اخلاء مسؤولية

 
20 سبتمبر 2021

Stocks and US equity futures are falling this morning, as Hong Kong property developers slump, following a report that Beijing could extend its crackdown to the city’s real estate firms.

اقرأ الملفّ اخلاء مسؤولية

 
19 سبتمبر 2021

Stagflation concerns weighed on market sentiment, with equities in negative territory across the board, US stocks outperforming, and long-duration assets selling off as investors did not welcome higher yields and the forthcoming tapering decision by the Fed.

اقرأ الملفّ اخلاء مسؤولية

 
16 سبتمبر 2021

Optimism dominated US markets on Wednesday.

اقرأ الملفّ اخلاء مسؤولية

 
15 سبتمبر 2021

The US Consumer Price Index, a key gauge of inflation, came out slightly softer than expected yesterday, and slightly lower than in July – on both headline and core numbers.

اقرأ الملفّ اخلاء مسؤولية

 
14 سبتمبر 2021

The international week started well for markets this Monday.

اقرأ الملفّ اخلاء مسؤولية

 
13 سبتمبر 2021

The prevailing mood for investors last week was anxiety: the pandemic is slowing the recovery, central banks are about to start reducing their support, and several Wall Street strategists have warned about the risks of currently elevated valuations in the developed world.

اقرأ الملفّ اخلاء مسؤولية

 
12 سبتمبر 2021

Last week was not good for global markets.

اقرأ الملفّ اخلاء مسؤولية

 
09 سبتمبر 2021

Global markets are showing signs of consolidating after an exuberant year to date developed market equity performance.

اقرأ الملفّ اخلاء مسؤولية

 
08 سبتمبر 2021

In Asia this morning, China markets flat to slightly negative, after a positive day yesterday with China's Shanghai Composite Index closing up 1.5%, and the Hang Seng Index 0.7%.

اقرأ الملفّ اخلاء مسؤولية

 
07 سبتمبر 2021

A good day for global markets (the U.S. was closed).

اقرأ الملفّ اخلاء مسؤولية

 
06 سبتمبر 2021

This morning in Asia, Japanese equities are up with the indices extending gains from decade highs on Friday, on optimism for new economic policies with a larger spending agenda, on news that Prime Minister Suga will step down.

اقرأ الملفّ اخلاء مسؤولية

 
05 سبتمبر 2021

After a very upbeat August with both emerging and developed market equities in synch, gaining around 2.5% for the month, last week saw gains of +1.2% for global equities, taking year to date gains to 17%.

اقرأ الملفّ اخلاء مسؤولية

 
02 سبتمبر 2021

Wednesday was a quiet start to September for financial markets.

اقرأ الملفّ اخلاء مسؤولية

 
01 سبتمبر 2021

The current rally in risk markets had a little pause on Tuesday.

اقرأ الملفّ اخلاء مسؤولية

 

أغسطس 2021

 
31 أغسطس 2021

Monday gave a good start to the international markets’ week.

اقرأ الملفّ اخلاء مسؤولية

 
30 أغسطس 2021

Last week was positive on global financial markets, helped by the full approval of the Pfizer/BioNTech vaccine by the FDA first, and then by an overall reasonably dovish tone from the Fed’s chairman at his address on the Jackson Hole symposium on Friday.

اقرأ الملفّ اخلاء مسؤولية

 
29 أغسطس 2021

The most important event of last week was expected to be Mr Powell’s speech at the Jackson Hole annual symposium gathering global central bankers.

اقرأ الملفّ اخلاء مسؤولية

 
26 أغسطس 2021

The current week shows an improvement in sentiment, as Wednesday was the third consecutive positive day for risk assets.

اقرأ الملفّ اخلاء مسؤولية

 
25 أغسطس 2021

Investors’ sentiment was improving on Tuesday, supporting risk assets.

اقرأ الملفّ اخلاء مسؤولية

 
24 أغسطس 2021

Risk aversion dominated last week, putting global equities and commodities under pressure and supporting defensive assets.

اقرأ الملفّ اخلاء مسؤولية

 
11 أغسطس 2021

In the Asian morning session stocks are headed higher as investors eagerly await the key US inflation report to be released today.

اقرأ الملفّ اخلاء مسؤولية

 
10 أغسطس 2021

Stocks were a bit mixed across the board.

اقرأ الملفّ اخلاء مسؤولية

 
09 أغسطس 2021

Asian stocks are mixed this morning, US futures are slipping and precious metals tumbling on growing conviction that the Fed is closer to pulling back stimulus.

اقرأ الملفّ اخلاء مسؤولية

 
08 أغسطس 2021

The past week saw robust gains in global equities, with the MSCI World returning 1% and closing at all-time highs, and losses in longer-duration defensive assets following the strong US jobs report.

اقرأ الملفّ اخلاء مسؤولية

 
05 أغسطس 2021

A positive week for risk assets so far, with Asian markets mixed this morning, following gains yesterday, with upbeat services sector reports as well as a rebound in tech shares that have recently seen pressure amid China's crackdown.

اقرأ الملفّ اخلاء مسؤولية

 
04 أغسطس 2021

Another up day for global equities yesterday, with the US and Europe up, but Asia largely down.

اقرأ الملفّ اخلاء مسؤولية

 
03 أغسطس 2021

Asian equities lower this morning with China tech selling off.

اقرأ الملفّ اخلاء مسؤولية

 
02 أغسطس 2021

Asia equities are up this morning with both mainland China and the Hang Seng Indices up around a percent and Japan up 2%.

اقرأ الملفّ اخلاء مسؤولية

 
01 أغسطس 2021

Global equities finished the week lower, but the month of July higher, with markets influenced by various factors.

اقرأ الملفّ اخلاء مسؤولية

 

يوليو 2021

 
29 يوليو 2021

Asian equities are rising this morning following Beijing’s efforts to calm markets and the reassuring Powell’s comments at the end of the FOMC meeting.

اقرأ الملفّ اخلاء مسؤولية

 
28 يوليو 2021

Risk aversion was in the air yesterday, it took hold of markets which closed in the red across the globe, with the US dropping sharply from all-time highs and eventually partially recovering the intraday losses.

اقرأ الملفّ اخلاء مسؤولية

 
27 يوليو 2021

Monday was dispersed but overall benign on global markets.

اقرأ الملفّ اخلاء مسؤولية

 
26 يوليو 2021

Last week was volatile.

اقرأ الملفّ اخلاء مسؤولية

 
25 يوليو 2021

Last week, global markets were kind enough to align with our view for the second half of the year, which combines a reasonably constructive stance with expectations for volatility.

اقرأ الملفّ اخلاء مسؤولية

 
18 يوليو 2021

Global markets were relatively volatile and a bit dispersed last week, which may signal some change in the current narrative.

اقرأ الملفّ اخلاء مسؤولية

 
15 يوليو 2021

Asian shares are mixed this morning, while US and European futures are retreating.

اقرأ الملفّ اخلاء مسؤولية

 
14 يوليو 2021

Asian shares are lower today after the modest losses on Wall Street following the CPI release.

اقرأ الملفّ اخلاء مسؤولية

 
13 يوليو 2021

Asian stocks were higher in the morning session following gains in the United States, with Japan and Korea in the spotlight.

اقرأ الملفّ اخلاء مسؤولية

 
12 يوليو 2021

Last week long-dated yields sank to five-month lows amidst disappointing data and the release of Fed minutes, which saw Fed officials planning to go ahead with tapering, perceived in the end as a deflationary development by investors.

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11 يوليو 2021

Markets showed signs of a flight to quality for most of the week to end on a high with US stocks closing at new records.

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08 يوليو 2021

The minutes of the June FOMC meeting were released last night, and they confirmed that the committee officially began talking about tapering asset purchases.

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07 يوليو 2021

Risk appetite was low on global markets yesterday.

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06 يوليو 2021

News headlines today are dominated by oil prices, as negotiations within the OPEC+ group have not come to an agreement yet.

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05 يوليو 2021

Last week, markets took comfort in the abundant economic data, combining enough growth to justify elevated valuations with elements supporting a continuous stimulus support for now.

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04 يوليو 2021

The first half of 2021 was one of the best on record for global markets, with the developed markets equity benchmark MSCI World up 13% to take a single illustration.

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01 يوليو 2021

A very good first half for global markets with Developed markets (+13%) maintaining an almost uninterrupted trajectory of gains from both European and US equity indices.

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يونيو 2021

 
30 يونيو 2021

A flat day for global equities yesterday, though Asian markets were down a percent from mainland China, Hong Kong to Singapore and Japan.

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29 يونيو 2021

A flat day for global equities yesterday, with small gains from the U.S. and mixed Asian markets.

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28 يونيو 2021

This morning Asian markets are following last week’s positive performance with Hong Kong equities up over a percent while domestic China indices are up, though more muted.

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27 يونيو 2021

Global equities gained 2.3% last week, with data signalling continued acceleration in the world economy, as well as optimism over additional fiscal stimulus.

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24 يونيو 2021

Global markets were hesitant Wednesday.

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23 يونيو 2021

The mood remained constructive on global markets on Tuesday.

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22 يونيو 2021

Sometimes, the necessary assumption of capital market efficiency appears quite questionable, especially when looking at short-term price action.

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21 يونيو 2021

Last week was negative across all asset-classes, following the modest but unexpected shift in guidance from the Federal Reserve.

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20 يونيو 2021

Global financial markets saw a sea of red last week, with fortunately limited depth.

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17 يونيو 2021

In the morning session Asian stocks and US futures are extending losses after the Fed’s hawkish surprise.

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16 يونيو 2021

Stocks slipped, yields and the dollar were little changed, gold slid as investors looked ahead to the Fed meeting.

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15 يونيو 2021

Traders are undoubtedly preparing themselves for the Wednesday’s Fed meeting.

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14 يونيو 2021

Markets are pretty quiet this morning, maybe gifting us with a more relaxed, rather than the usual frantic start to the week.

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13 يونيو 2021

The S&P 500 recorded its third straight weekly gain following some listless sessions in the five days through Friday.

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10 يونيو 2021

Financial markets keep on struggling to find a clear direction, waiting for the key economic number of the week: today’s US consumer price index.

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09 يونيو 2021

Tuesday was mixed on global markets.

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08 يونيو 2021

It looks like Goldilocks: economic growth is strong and globally getting stronger, while job creations in the US are contained, giving visibility on monetary policy.

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07 يونيو 2021

Last week's avalanche of economic data provided an updated picture on the current backdrop.

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06 يونيو 2021

Last week was rich in terms of economic data, with an avalanche of monthly leading indicators, and the most awaited US job report for May on Friday.

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03 يونيو 2021

A positive day yesterday for both risk and safe haven assets as global equities eked out small gains, treasuries rose as did oil and gold.

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02 يونيو 2021

The to and fro between economic optimism and inflation concerns continues to play out in markets.

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01 يونيو 2021

European and Asian stock markets fell Monday with UAE equity gauges mixed, however ending a very positive month for most major global equity indices.

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مايو 2021

 
31 مايو 2021

This morning Asian equities are trading down after strong returns of 2.5% last week, having outperformed global equities which were up 1.4%.

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30 مايو 2021

Global equities continue to gain, up 1.4% last week, with China, India and the UAE contributing to the stronger +2.4% Emerging Market performance.

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27 مايو 2021

Wednesday was another gently positive day for global markets, as confidence on western economies’ reopening supported sentiment.

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26 مايو 2021

Volatility abated on Tuesday with contained price action in most of the assets we follow.

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25 مايو 2021

The international week on global markets started well this Monday.

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24 مايو 2021

Last week was all about record volatility in crypto assets, with so far little spill over to conventional asset classes.

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23 مايو 2021

Last week was rich in potentially market moving news, especially around inflation and the Fed’s tapering agenda.

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20 مايو 2021

Equities fluctuated as investors digested Fed language interpreted to be unexpectedly hawkish in the April’s FOMC minutes.

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19 مايو 2021

Asian shares are sliding this morning, following in the footsteps of Wall Street’s lackluster performance the day before.

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18 مايو 2021

Asian equity benchmarks are firmly in positive territory this morning, including Japan in spite of some grim economic data.

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17 مايو 2021

Stocks are wavering on this Monday morning alongside US equity futures as rising virus cases in parts of the region are weighing on investor sentiment.

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16 مايو 2021

The past week was volatile, marked by inflation and cryptocurrency scares, with stocks closing the five days through Friday with minor losses and investors buying the dip, the dollar and gold ending little changed and long-dated Treasury yields still hovering within a holding pattern in spite of growing price pressures.

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10 مايو 2021

All asset classes delivered modest but positive returns last week.

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09 مايو 2021

Markets gave a reasonably good start to the month last week.

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06 مايو 2021

The year is progressing much as it began. A slightly up day for global equities taking year to date total returns to 9.6%.

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05 مايو 2021

Global equities closed down yesterday, falling 0.8%. Asia finished mixed as markets in China and Japan remained closed for holidays, while Europe and US closed lower.

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04 مايو 2021

The main event influencing markets yesterday was a slew of manufacturing reports and global equities ended the day slightly higher and in sync with Aprils positive returns.

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03 مايو 2021

Markets were weaker across the board on Friday with the S&P 500 little changed on the week and Europe and Asia equities posting modest losses.

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29 مايو 2021

Though the week saw global equities drop across the board, the month of April saw significant gains with developed market equities up 4.7% and emerging markets gain 2.5%.

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أبريل 2021

 
29 أبريل 2021

First, President Joe Biden, in a formal address to the US Congress, laid out a third stimulus plan.

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28 أبريل 2021

Stock markets were overall little changed on Wednesday, despite a rise in interest rates.

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25 أبريل 2021

Last week started on a nervous note but ended reasonably well on financial markets.

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23 أبريل 2021

From a campaign idea to a project: the Biden administration has confirmed preparing a second economic plan, targeting infrastructure, carbon emissions and inequalities, with an astonishing tentative amount of $3 trillion.

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22 أبريل 2021

Stocks in Asia are in positive territory as of the time of writing after US stocks snapped a two-day decline to gain almost 1%.

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21 أبريل 2021

The major stock markets closed in the red on rising global virus cases prompting some profit-taking.

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20 أبريل 2021

This morning markets in Asia are weak, following yesterday’s retreat of US stocks from all-time highs.

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19 أبريل 2021

Asian shares are climbing as of the time of writing and US futures paring a drop with the strong recovery and corporate earnings coming into focus.

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18 أبريل 2021

It was an eventful week on many fronts, with stocks, bonds and commodities registering positive returns.

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15 أبريل 2021

Markets were relatively quiet on Wednesday. Global stocks added 0.3% on average, led by emerging markets.

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14 أبريل 2021

Inflation data for March in the US was the key release of yesterday. The CPI report came in higher than the median forecast from economists.

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13 أبريل 2021

After the records of last week, Monday's session was mildly negative on financial markets.

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12 أبريل 2021

Last week was positive on all asset classes. Robust economic data supported cyclical assets.

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11 أبريل 2021

One headline last week illustrates the current situation: the usually pessimistic IMF revised up its world economic outlook for the third time.

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08 أبريل 2021

Another flat day for global equities, however maintaining the record highs for many markets.

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07 أبريل 2021

Major global equity indices were largely unchanged yesterday, except for European equities which gained 0.7%.

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06 أبريل 2021

Global equities were up a percent yesterday with the S&P 500 extending gains into a third session with European equities up too.

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05 أبريل 2021

A strong start for quarter two for markets last week across regions and sectors after a buoyant Q1.

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04 أبريل 2021

It has been a good quarter and a good week for equity markets, though beset with severe daily ups and downs.

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01 أبريل 2021

US stocks closed at all-time highs led by Technology and Consumer Discretionaries on the day Joe Biden disclosed his infrastructure plan and the first quarter of the year came to an end.

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مارس 2021

 
30 مارس 2021

Here we go again. The unwinding of excessive leverage taken by a large family office, Archegos Capital Management, reverberated across markets raising uncertainty.

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29 مارس 2021

Asian stocks are keeping steady this morning, though US equity futures are dipping as investors weigh possible knock-on effects from a wave of unprecedentedly large block trades.

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28 مارس 2021

Risk appetite returned to markets following dovish Fedspeak and Biden’s announcement of aggressive vaccine roll-outs.

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25 مارس 2021

Global markets are in a constant adjustment between two opposite forces: the short-term trajectory of the recovery is uncertain, with a resurgence in infections, while the medium-term recovery reignites fears on inflation and rates.

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24 مارس 2021

Tuesday was a bad day for global markets, following data showing an unexpected increase in the number of new cases globally.

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23 مارس 2021

From a campaign idea to a project: the Biden administration has confirmed preparing a second economic plan, targeting infrastructure, carbon emissions and inequalities, with an astonishing tentative amount of $3 trillion.

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22 مارس 2021

Last week was volatile and overall negative for most asset classes, after an update on policies from central banks failed to reverse the rise in bond yields.

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21 مارس 2021

Central Banks took center stage last week, with the US Federal Reserve holding their monthly committee on Wednesday.

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18 مارس 2021

The so much awaited big Fed day ended with big market moves, following the conclusion of the FOMC meeting where chair Powell basically reiterated the Average Inflation Targeting approach.

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17 مارس 2021

Stocks in Asia are showing no clear direction this morning, yesterday were mixed in the United States and put in sub-1% gains in Europe.

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16 مارس 2021

Asian stocks are in the green this morning, following the positive session in the United States, where shares reached new all-time highs on optimism about the economic recovery.

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15 مارس 2021

In spite of US long-dated yields being at the highs of the year, markets are having a positive start to the week, with US futures and equities in Japan, South Korea and Australia advancing.

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14 مارس 2021

Global equities ended the week on a very strong note, with indices of the developed countries clearly outperforming their emerging peers, the US reaching a new record and Europe leading markets higher.

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11 مارس 2021

On Wednesday, Joe Biden’s $1.9 trillion stimulus plan passed the final vote at the US House of Representatives.

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10 مارس 2021

Tuesday was interesting on global markets, with what we could call a “rotation of the rotation”.

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09 مارس 2021

Volatility and rotation continued on Monday.

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08 مارس 2021

Volatility was the name of the game last week, as a stream of good fundamental news pushed interest rates and inflations expectations higher, sending shockwaves across markets.

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07 مارس 2021

Bad fundamental news are not what markets dislike the most: uncertainty is. Last week was another example of this well-known behavioural lesson.

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04 مارس 2021

After a strong performance from Asia markets yesterday, with China and Hong Kong equity indices up over 2%, this morning major markets in Asia are trading down following the US close yesterday.

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03 مارس 2021

Asian markets are up this morning, with China and Hong Kong in the lead after falling around a percent yesterday, in line with global equities which were down half a percent.

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02 مارس 2021

This morning Asian equities are slightly negative, after a broad risk on day for markets globally yesterday with global equities up 2%, almost wiping out last week’s 3% fall.

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01 مارس 2021

After a week of yield driven market movements, with global equities losing 3% and 10 year Treasury yields rising mid-week to 1.51%, Monday has begun with a stabilization in sovereign bonds, a lower US dollar, signaling somewhat calmer markets with equity indices in Japan, Australia and Hong Kong trading up over a percent.

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فبراير 2021

 
28 فبراير 2021

An intense week of equity volatility with markets yo-yoing between gains and losses.

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25 فبراير 2021

Nobody really knows whether inflation will rise, but there is no ambiguity that the Fed will remain very accommodative for long.

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24 فبراير 2021

Tuesday started with some volatility but ended quietly when market participants found comfort in the two awaited items of the day: Jerome Powell’s speech and the US consumer confidence.

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23 فبراير 2021

Fundamental news are good, combining slowing infections, rising vaccinations, resilient economies and increased policy support.

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22 فبراير 2021

The key market move of last week was a rise in interest rates, as signs converged for a steady economic recovery from Q2.

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21 فبراير 2021

The key news of last week converged to set the stage for a strong recovery in the quarters ahead.

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18 فبراير 2021

The quick rise in global Treasury yields did not go down well with markets and stocks saw one more mixed-to-weak session.

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17 فبراير 2021

Yesterday was quite eventful, not so much for equities, which closed mixed to little changed depending on geographies and markets, as for bonds.

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16 فبراير 2021

Stocks closed on a stronger note across the EM countries, in Europe and in Japan, alongside US futures pushing to new highs on occasion of the Presidents Day holiday.

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15 فبراير 2021

Asian stocks are advancing, alongside US futures ticking higher on this President’s Day holiday, which sees the cash markets closed in the United States.

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14 فبراير 2021

Stocks closed at new all-time highs both in the United States and in the emerging markets, with the S&P 500 and the Nasdaq Composite gaining 1.2% and 1.7% and the MSCI Emerging Market Index 2.3% for the week respectively.

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11 فبراير 2021

Let’s start with the key number released yesterday: +1.4%. This is the US Consumer Price Index year-on-year change as of January, which is of course the main gauge of inflation.

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10 فبراير 2021

Let’s start with history: yesterday, Hope Probe successfully entered the orbit of Mars at 7.42 PM Dubai time.

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09 فبراير 2021

The second week of February started on a strong note Monday.

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08 فبراير 2021

As we wrote yesterday, last week was very positive for risk assets, lifting several equity indices to record highs and interest rates at a 2021 high.

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07 فبراير 2021

January ended with a very negative week, combining surging Covid-19 infections, delays on US fiscal stimulus and the largest de-risking from hedge funds in a decade, under attack by retail investors on the dubbed “meme stocks”.

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04 فبراير 2021

A strong February so far with most global indices back in the green and global equities up 2.6% year to date.

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03 فبراير 2021

Another positive day for global equities with a strong risk on rally.

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02 فبراير 2021

February has on its first trading day seen a global equity rally with lower volatility and technology once again taking leadership.

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01 فبراير 2021

We start February at almost the same levels for most equity indices where the year began, barring emerging markets which have risen 3% in January.

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يناير 2021

 
31 يناير 2021

A volatile week for global equities which ended up 3.5% lower, ending January down by half a percent.

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28 يناير 2021

Wednesday was busy and tough on risk markets.

اقرأ الملفّ اخلاء مسؤولية

 
27 يناير 2021

Tuesday was slightly negative for financial markets.

اقرأ الملفّ اخلاء مسؤولية

 
26 يناير 2021

Global financial markets struggled to find a clear direction on Monday, integrating the risk of the US fiscal relief package to be delayed.

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25 يناير 2021

There was optimism in the air last week.

اقرأ الملفّ اخلاء مسؤولية

 
24 يناير 2021

Last week was positive across financial markets: all the major asset classes delivered positive returns.

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21 يناير 2021

The Asian markets have been rising for a third straight session this morning, led by Japan and South Korea as global growth expectations are positively affected by more forthcoming US stimulus.

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20 يناير 2021

In the morning session stocks are mixed in Asia, with Australia headed higher and Japan in losing territory, while US futures are struggling for direction.

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19 يناير 2021

In the Asian morning session stocks are steady, with the Nikkei225 leading gains.

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18 يناير 2021

In the Asian morning session stocks are generally weaker alongside US futures, in spite of data from China pointing to a continuation of the strong recovery, with the economy back to the pre-pandemic growth rate in the fourth quarter.

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14 يناير 2021

Wednesday was relatively quiet on financial markets. Global stocks were little changed in developed regions and slightly down in their emerging peers

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13 يناير 2021

Financial markets are looking for a direction, hesitating between strong short-term headwinds and brighter medium term prospects

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12 يناير 2021

After a strong first week of 2021, Monday’s session on global markets was negative on pretty much everything.

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11 يناير 2021

The Democratic party gaining control of both houses of the US congress was the key reason behind last week’s rise in cyclical assets, with a heightened probability of more fiscal stimulus.

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10 يناير 2021

The first week of 2021 was eventful and volatile, but positive for cyclical assets.

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07 يناير 2021

Global equities gained close to half a percent yesterday with most major markets up. Major news affecting markets include Democratic control of the US Senate, the 10 year Treasury yield over 1%, oil continuing to gain and Coronavirus spread leading to continued lockdowns.

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06 يناير 2021

Global markets saw a broad rally yesterday with most sectors and regions up, barring the Eurozone.

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05 يناير 2021

The first day of trade in 2021 for most global markets saw mixed performance from Developed Market equities with U.S. indices lower, though ending off session lows, Eurozone equities positive and the UK rallying.

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04 يناير 2021

The first markets to start trading in 2021 are the GCC, with the first trading day yesterday

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03 يناير 2021

We start 2021 with hopes of an economic recovery, vaccines to deal with the virus and unprecedented fiscal and monetary policy support.

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