The Iran war enters its 100th day, pushing energy costs higher and reigniting inflation in major economies. Analysis of market impact and central bank response.
India's central bank keeps repo rate unchanged at 5.25%, citing inflation risks from surging oil prices due to the Iran conflict. Gold falls as US jobs data fuels rate hike โฆ
US Hellfire missile hits Iranian tanker in Strait of Hormuz after crew ignored 24-hour warnings, escalating geopolitical tensions and impacting global markets.
AT&T's cryptic tweet about strategy sparks speculation on corporate crypto adoption, with market implications and regulatory angles explored.
Oil prices jump 3% as U.S.-Iran conflict intensifies, with Strait of Hormuz threats and fresh strikes rattling global markets. Analysis of spillover effects on equities, currencies, and crypto.
New York Fed President John Williams speaks in Iceland, signaling a data-dependent Fed amid global economic shifts. Market implications for rate cuts.
South Korea invokes emergency arbitration to block Samsung strike. We analyse the market implications and what it means for investors.
India raises silver import duty to 15%, aiming to curb rupee pressure. What this means for global silver demand and prices.
The Dow hit a historic 29,000 before closing lower on weaker jobs data. Analysis of market impact, volatility, and expert views.
NBA star Spencer Dinwiddie launches tokenized contract on Ethereum, offering accredited investors exposure to his future earnings. Market impact analysis.