Last week global stock markets were bleeding, as sell-off accelerated. Investors immediately reacted to the less than expected earnings reports from some big companies. Of course, political tensions in Europe as well as trade issue between China and U.S. formed a dark cloud on stock markets' sky....
Download reportLast week global stocks finished mixed. Investor focus toggled between fundamentals and geopolitical uncertainty, and every single day had good and bad news for the markets. The Q3 earning season kicked-off with good results, though the industrial sector lagged and European luxury goods faced some difficulties....
Download reportLast week global stock market was hit badly by volatility and lost 5% on average. The week finished price stabilising. The trade tensions between China and U.S. as well as fear of rate hike were among the main drivers of the strongest weekly sell-off since March....
Download reportLast week global stock markets closed lower. At the beginning of the week investors cheered to the new NAFTA deal between U.S.-Mexico-Canada, which has been renamed to USMCA. Soon after, market changed direction as Italy budget deficit, U.S.-China trade war and rate rise made investors to become worried about global growth....
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