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Impact of Ukraine's Drone Strikes on Global Oil Markets
Ukraine's drone strikes on Russian oil are reducing revenue by $100 million daily, affecting global oil prices and market dynamics.
Market Implications of the Strait of Hormuz Blockade and UK Warship Chances
The blockade at the Strait of Hormuz impacts vessel traffic and UK warship chances, affecting market expectations and trading decisions.
Current Ceasefire Market Dynamics Amidst Tensions in Lebanon
The likelihood of a ceasefire in Israel and Hezbollah is rising, with key market movements reflected amidst growing tensions.
The Impact of the Iran War and Rising Gas Prices on U.S. Consumers
The Iran conflict and rising gas prices are significantly impacting the U.S. consumer economy and oil market trends.
Netanyahu's Military Strategy and Its Impact on US-Israel Relations
Netanyahu's military actions against Iran strain US-Israel relations, impacting market sentiment and investment opportunities.
ZachXBT Offers $25,000 Bounty Amid RAVE Token Allegations
ZachXBT is offering a $25,000 reward for information on potential irregularities related to RAVE, the token of RaveDAO.
Hezbollah Attack Raises Questions on Stability of Lebanon Ceasefire
Hezbollah's recent attack raises concerns about the durability of the Lebanon ceasefire, with market probabilities fluctuating.
Implications of Israel's Military Strategies on Market Sentiments and Ceasefire Prospects
Israel's new military boundary in Lebanon raises market expectations of a ceasefire and impacts investment strategies ahead of April 30.
Updates on the Strait of Hormuz and US-Iran Relations Affecting Investment Strategies
The Strait of Hormuz is open, and cooperation between the US and Iran indicates a potential blockade lift, influencing investment strategies.
Understanding the Iran-US Ceasefire and Market Implications
Iran warns of retaliation if the ceasefire fails; markets show shifting odds for a diplomatic resolution by April.
Recent IRGC Attacks in Strait of Hormuz: Market Impact and Military Response
US defense officials report attacks on ships in the Strait of Hormuz, yet UK warship deployment odds remain low, signaling market inaction.
Iran's Exit from US Peace Talks: What Investors Need to Know
Iran's withdrawal from US peace talks impacts the odds of a deal by April 2026, creating investment uncertainty and market fluctuations.
Implications of Eric Swalwell's Resignation for Investors
Eric Swalwell resigns amid financial misconduct allegations, impacting market confidence ahead of his potential exit by May 31.
Iran's Threats and Their Impact on Strait of Hormuz and Financial Markets
Iran's threats over the Strait of Hormuz signal potential market shifts as tension rises with US-Iran negotiations.
Public Sentiment Weakens Support for Trump's Iran Strategy
A POLITICO poll reveals low support for Trump's Iran strategy, impacting war declaration likelihood and trader sentiment.
Market Reaction to Iran's Pause in US Talks: Insights for Investors
Iran's Deputy Foreign Minister announced a diplomatic pause with the US, affecting market estimates and investor strategies.