This report, prepared by the market intelligence team, provides an overview of key trends and developments in global financial markets over the past week.
Equities: Major indices showed mixed performance as economic data weighed on growth expectations.
Fixed Income: Bond yields rose amid inflation concerns and central bank policy updates.
Commodities: Oil prices surged due to supply constraints, while gold saw increased demand as a safe-haven asset.
Currencies: The US dollar strengthened against major currencies due to favorable economic indicators.
For a deeper dive into these trends and their potential impact on your portfolio, read the full report.