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Market Insights

Editorial illustration depicting global stock market performance and macroeconomic trends, April 2026.

Global Stock & Financial Markets | 02 Apr 2026

Global stock markets showed resilience this week as inflation trends improved and central banks maintained a cautious stance. US, European, and Asian markets diverged, reflecting regional economic conditions. This update explores key index movements, investor sentiment, and policy signals shaping opportunities and risks for high-net-worth investors and global businesses.

Editorial illustration depicting weekly global stock and financial market performance, February 2026.

Global Stock & Financial Markets | 19 Feb 2026

Global equity markets advanced during 12-18 February 2026, with the S&P 500, STOXX Europe 600 and FTSE 100 responding to softer inflation data, central bank commentary and robust fund inflows. This weekly review analyses index performance, monetary policy signals and geopolitical risks shaping investor sentiment.

Editorial illustration depicting weekly global stock and financial market performance, February 2026.

Global Stock & Financial Markets | 12 Feb 2026

Global equities advanced during 05-11 February 2026 as major indices gained, volatility declined and central banks held rates steady. US labour data, European policy signals and sector rotation shaped investor sentiment. This weekly analysis examines stock performance, macro drivers and risks relevant to high-net-worth investors and business leaders.

Illustration of global stock indices, central bank buildings, and interest rate symbols, reflecting market trends and economic sentiment.

Global Stock & Financial Markets (Week of 23-29 May 2025)

This week’s stock market update analyses index movements, central bank decisions, earnings surprises, and macro risks from 23-29 May 2025. Understand what’s driving investor sentiment and how to position portfolios. Strategic takeaways for HNWIs, entrepreneurs, and financial professionals navigating the current economic landscape.

Illustration showing global stock indices and central bank rate symbols reflecting weekly shifts in stock markets and interest rate policy as of 22 May 2025.

Global Stock & Financial Markets (Week of 16-22 May 2025)

Markets faced volatility as the S&P 500, FTSE 100, and Nikkei reacted to rate decisions from the Fed, BoE, and ECB. Corporate earnings and geopolitical risks also influenced investor sentiment. This week’s update offers strategic insights for investors, HNWIs, and financial professionals navigating global financial conditions.

Infographic illustrating weekly trends of global stock markets, including S&P 500, FTSE 100, DAX, and Nikkei indices, alongside investor sentiment, central bank actions, earnings insights, and geopolitical factors.

Global Stock & Financial Markets (Week of 13th March 2025)

Discover key market movements from the week of 13th March 2025, covering major indices including the S&P 500, FTSE 100, DAX, and Nikkei. Explore critical investor trends, corporate earnings insights, central bank policies, and geopolitical factors influencing market volatility. Subscribe now for expert weekly updates on global financial markets.

A futuristic financial trading floor with digital stock tickers displaying real-time market data. Traders analyze stock charts and global indices, including the S&P 500, FTSE 100, and Nikkei 225. The background features a digital world map overlay, emphasizing global financial activity and investment trends.

Global Stock & Financial Markets (Week of 6th March 2025)

This week’s stock market movements saw Trump delaying auto tariffs, ECB rate cut speculation, and AI stock corrections. The S&P 500 gained 1.1%, while China’s market struggled with weak factory output. Get expert insights into key financial trends shaping global markets in this week’s update.

Stock market traders analyzing global financial trends, with digital stock indices displayed on multiple screens.

Global Stock & Financial Markets (Week of 27th February 2025)

The global stock and financial markets saw mixed movements this week, with major indices reacting to corporate earnings, trade tensions, and central bank decisions. Tech stocks led gains, while geopolitical risks fueled demand for safe-haven assets. Read the latest insights on investor trends and policy shifts shaping financial markets in 2025.

A financial trading floor with stock ticker screens displaying S&P 500, FTSE 100, and DAX performance, with traders analysing market movements.

Global Stock & Financial Markets (Week of 20th February 2025)

Global stock markets reacted to central bank policies, corporate earnings, and geopolitical tensions this week. While AI stocks led early gains, trade uncertainty and investor risk aversion drove volatility. This analysis covers S&P 500, FTSE 100, DAX performance, interest rate shifts, and key trends shaping financial markets.

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