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Gold Nears $5,600: Powell’s Dovish Turn Sparks Rally, Prioritize Risk Control
Gold Nears $5,600: Powell’s Dovish Turn Sparks Rally, Prioritize Risk Control

Gold challenges $5,600 with intraday gains over $260. Powell’s dovish remarks boost bulls, while USD debasement trades and safe-haven flows support the rally. Trend remains bullish, but traders should manage positions carefully amid elevated volatility.

Tesla Earnings Highlight Margin Strength as Stock Reaction Turns Constructive
Tesla Earnings Highlight Margin Strength as Stock Reaction Turns Constructive

Tesla’s Q4 earnings delivered a mix of slowing automotive and improving financial quality, but the stock’s post-results behavior suggests markets remain more focused on cost control, healthy margins and long-term company optionality.

Meta Shares Rally 9% Earnings Show AI Investment Driving Growth as Shares Reverse Higher
Meta Shares Rally 9% Earnings Show AI Investment Driving Growth as Shares Reverse Higher

Meta’s earnings delivered a solid revenue beat, with management highlighting AI-driven productivity gains and future ad growth despite elevated capex guidance.

January 2026 FOMC Review: Shifting To ‘Wait & See’ Mode
January 2026 FOMC Review: Shifting To ‘Wait & See’ Mode

The FOMC held rates steady at the January confab, despite a double dissent, with the Committee seemingly moving to a ‘wait and see’ approach amid a stabilising employment backdrop.

A Weaker Dollar Further Supports The ‘Run It Hotter’ Equity Bull Case
A Weaker Dollar Further Supports The ‘Run It Hotter’ Equity Bull Case

Easier US fiscal and monetary policy, a softer dollar and expanding liquidity reinforce the bull case for equities as financial conditions loosen in 2026.

February 2026 ECB Preview: Standing Pat To Start The Year
February 2026 ECB Preview: Standing Pat To Start The Year

The ECB’s first policy decision of the year should be a relatively straightforward affair, with the Governing Council again set to stand pat on policy, while repeating very familiar forward guidance.

How To Trade USDJPY Amid Intervention Risks?
How To Trade USDJPY Amid Intervention Risks?

Driven by US & Japan “rate checks,” USDJPY saw a sharp short-term drop and elevated volatility. During intervention-sensitive periods, traders should focus on key price levels, short-term structural confirmations, and flexible position management rather than simply betting on direction.

Tesla Earnings Under the Microscope: Are the Numbers Sufficient to Re-anchor the Stock Near Its Highs?
Tesla Earnings Under the Microscope: Are the Numbers Sufficient to Re-anchor the Stock Near Its Highs?

Tesla is set to report its financial results on January 28 amid heightened market sensitivity. With expectations finely balanced, the post-earnings price action is likely to serve as a more telling gauge of investor conviction, revealing whether confidence is rebuilding to retest valuation highs.

Gold Breaks $5,000/oz As Bull Run Continues
Gold Breaks $5,000/oz As Bull Run Continues

Gold's bull run rolls on, with spot breaking above $5,000/oz for the first time as the trading week gets underway, amid lingering geopolitical risk, and a broader 'sell America' trade gathering pace

JPY Surges On Rate Check Rumours
JPY Surges On Rate Check Rumours

An unusual role for the NY Fed in Friday’s JPY surge signals a potential change in the currency management regime, possibly for the broader APAC region, likely leading to higher vol, while also tilting the risk/reward against JPY bears for now.

Copper Rebounds: A Strategic Asset Beyond Gold and Silver
Copper Rebounds: A Strategic Asset Beyond Gold and Silver

With tightening supply and rapidly growing demand from renewable energy and AI data centers, copper’s upside potential is becoming increasingly clear. Amid concentrated long positions in gold and silver, copper may emerge as a structural growth asset worth watching beyond precious metals.

Oracle’s Q3 FY26 Earnings: Why This May Be the Most Important Report in the S&P 500
Oracle’s Q3 FY26 Earnings: Why This May Be the Most Important Report in the S&P 500

Oracle’s Q3 FY26 earnings are in focus as capex surges, leverage rises, and AI investment risk grows. Markets price a large earnings-day move.

Markets Move On From Greenland; What Might Come Next?
Markets Move On From Greenland; What Might Come Next?

Trump’s latest tariff threat follows the familiar ‘escalate to de-escalate’ playbook. As trade war fears fade, markets refocus on fundamentals that continue to favour risk assets, USD strength, and precious metals.

AUD Broadly Strong: AUDUSD Breaks Above 0.68, Q4 CPI Key to Rate Outlook
AUD Broadly Strong: AUDUSD Breaks Above 0.68, Q4 CPI Key to Rate Outlook

AUDUSD bulls have stepped up, with the pair surging to a fresh 15-month high. Strong Australian jobs data, RBA rate hike expectations, and a recovery in global risk appetite are reinforcing each other. Australia’s Q4 CPI will be pivotal for the timing of any rate move, while U.S. nonfarm payrolls and policy dynamics remain key swing factors for AUD.

Apple Q4 Earnings Outlook: Key Expectations and What Investors Are Watching
Apple Q4 Earnings Outlook: Key Expectations and What Investors Are Watching

As Apple heads into its Q4 earnings release, markets are asking a key question: can the company complete a full year of beating expectations? With elevated valuations and AI strategy in focus, guidance may matter as much as the numbers.

Europe Can’t Weaponise Capital Markets - And Trying To Would Backfire
Europe Can’t Weaponise Capital Markets - And Trying To Would Backfire

Despite heated rhetoric, capital-market retaliation against US tariffs is unworkable and economically self-defeating for Europe.

When Will Gold Reach $5,000? Three Key Factors to Watch
When Will Gold Reach $5,000? Three Key Factors to Watch

In just three weeks of 2026, gold has consecutively broken through $4,700 and $4,800, setting new record highs. Market attention focuses on when gold will test $5,000, with safe-haven demand, institutional uncertainty, and rate-cut expectations as the main drivers.

S&P 500 Slides 2.1%: Is This the Start of a Deeper Market Pullback?
S&P 500 Slides 2.1%: Is This the Start of a Deeper Market Pullback?

On Tuesday, the S&P 500 closed 2.1% lower, marking its worst one-day performance since 10 October. This naturally raises the question of whether the pullback from the 7000 level builds into a broader trend, where traders look to sell into retracements, or whether stability emerges with buyers stepping in to defend this dip.

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