Jan 3, 2026
CES, jobs data, IPOs, crypto volatility and major geopolitical shocks shape markets and global governance in the first full trading week of 2026.
Jan 1, 2026
Pakistan inflation eases to 5.6%, the US dollar posts its worst year since 2017, Tether boosts Bitcoin reserves, and tech rules tighten.
Dec 31, 2025
The Fed resumes securities purchases as markets dip, crypto regulation tightens, AI transforms healthcare, and global integrity risks rise from Iran to Taiwan heading into 2026.
Dec 30, 2025
Federal Reserve minutes expose internal rifts over rate cuts as US and China debt risks grow. From record IPO demand to aggressive Bitcoin accumulation and rising cyber threats, today’s signals point to a volatile global reset.
Dec 29, 2025
Stocks retreat, gold plunges, and Bank of America warns of market fallout if the Fed loses independence. From AI infrastructure deals to cyberattacks and geopolitical escalation, today’s signals point to rising systemic risk.
Dec 28, 2025
Companies freeze hiring amid AI-driven job uncertainty as markets digest weak dollar signals, rising commodities, crypto positioning, and pivotal tech and policy shifts heading into 2026.
Dec 27, 2025
India posts 8.2% growth despite global shocks as markets cool, AI infrastructure strains emerge, crypto eyes a gold reset, and corruption scandals shake governments worldwide.
Dec 26, 2025
Wall Street trades near all-time highs as precious metals rally sharply, Bitcoin faces a $23B options expiry, and global corruption cases reshape political risk heading into 2026.
Dec 25, 2025
Soft U.S. inflation, central bank pivots, Nvidia’s $20B AI deal, extreme crypto fear, and rising BNPL debt define a volatile close to 2025 across global markets.