Last week, global markets continued to falter amid persistent US tariff uncertainty and shifting trade policies. US stocks declined as mixed economic data emerged, while ECB rate cuts and positive Chinese growth targets offered a contrasting outlook.
Continue readingGlobal markets diverged in March 2025 as trade tensions weighed on Wall Street, while robust corporate earnings and rate cut optimism propelled European stocks to record highs.
Continue readingGlobal markets weakened last week as persistent US tariff threats and regulatory uncertainties weighed on investor sentiment. US stocks fell amid concerns over the tech rally, while Japan and China experienced significant declines.
Continue readingLast week saw a mixed performance across global markets. US stocks ended lower amid tariff and earnings concerns, UK markets faced pressure from rising inflation, while Chinese tech shares rallied on strong earnings.
Continue readingLast week, markets were driven by Trump's tariff reconsideration, prompting a 1.5% rise in US stocks and a 3.3% rally in Europe. The UK surprised with Q4 GDP growth and cautious BoE policy comments.
Continue readingLast week saw mixed global market performance as a UK rate cut and escalating US tariff threats took centre stage. US stocks reacted sharply to tariff announcements while negotiations with Mexico provided a temporary reprieve.
Continue readingUK stock markets hit record highs as falling inflation and potential rate cuts fuel optimism, while tariff tensions, ECB rate cuts, and mixed signals from China add complexity. Investors weigh inflation, rates, and trade policies in shifting global conditions.
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