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The escalating conflict between Israel and Iran is injecting fresh uncertainty into the Middle East’s equity capital markets, putting what has been a resilient region so far this year to the test.
"It's not the stagflation of the 1970s, but it does start to make you wonder if this is the 2020s version of stagflation." He ...
This Monday, global markets are navigating a complex web of geopolitical tensions, monetary policy decisions, and the ...
Israel's shekel jumped sharply and stocks and bonds gained on Monday as investors began to look beyond the escalating ...
The Israeli military claims its campaign has eliminated high-value targets, including nine senior scientists, and severely ...
Investors are closely watching the latest updates in the hostilities between Israel and Iran to gauge how the situation might affect oil prices, as a rise in crude could put more pressure on inflation ...
Iran is one of the world’s top oil producers, and may try to block the Strait of Hormuz, a key export channel.
Futures on Wall Street are currently in cautious mode as they await further details on the ongoing hostilities between Israel ...