Global Market Weekly Report: Key Signals Shaping 2026 Financial Strategies

Key Signals Shaping 2026 Financial Strategies The global financial environment is entering a structural transformation phase that demands sharper, data-oriented interpretation from investors. Recent market behavior suggests that a convergence of monetary policy adjustments, energy-price stabilization, and geopolitical repositioning is beginning to redefine medium-term equity valuations. While short-term noise remains, the underlying signals show a … 더 읽기

2026 Global Issues Outlook: Key Shifts Shaping the Financial Markets

2026 Global Issues Outlook: Key Shifts Shaping the Financial Markets Global markets in 2026 will be shaped by three major forces: a structural shift in interest rates, the continuation of geopolitical realignments, and the acceleration of energy–technology transitions. For investors and analysts, understanding these forces is essential to identifying stable opportunities while avoiding systemic risks. … 더 읽기

Global Economy and Market Outlook for 2025: AI, Energy, and Investment Strategies

The global economy continues to show resilience despite mixed signals. Growth is moderate (around 3-4% expected in 2025), and inflation is easing in many regions. Major central banks (in the US, Europe, etc.) have paused rate hikes and hint at possible easing as prices stabilize. At the same time, emerging sectors like artificial intelligence (AI) … 더 읽기