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Investing
Understanding ECB Rate Decisions Ahead of 2026 Meeting
As the April 2026 ECB meeting approaches, caution prevails over interest rate decisions amid geopolitical tensions and inflation risks.
Impact of Iran's Closure of the Strait of Hormuz on Tanker Traffic and Market Dynamics
Iran's closure of the Strait of Hormuz has decimated tanker traffic, leading to substantial market implications and investor opportunities.
Institutional Investment in Crypto Signals Confidence and Stability
Institutional buys of $2.77B in Bitcoin and Ethereum signal strong demand and may reshape market stability for retail investors.
Understanding the Dynamics of US-Iran Talks and Market Reactions
US-Iran talks show no signs of progress, affecting market predictions for ceasefire and peace deal probabilities.
Impact of Iranian Condemnation on Israel-Iran Peace Deal Prospects
Iran's condemnation of Israeli actions raises skepticism about a peace deal, with market odds slightly improving amid thin trading volumes.
US Navy's Seizure of Iranian Ship Heightens Gulf Tensions and Market Speculation
The US Navy's seizure of the Iranian ship M/V Touska raises tensions in the Gulf, affecting market predictions for military action.
María Corina Machado's Bitcoin Proposal: A Potential Economic Shift for Venezuela
María Corina Machado proposes selling oil for Bitcoin to establish a national reserve, showing bold economic strategy amid Venezuelan turmoil.
The Impact of Political Scandals on Starmer's Future: Market Predictions and Investor Insights
Sir Olly Robbins will testify regarding Peter Mandelson's vetting. Market predictions show high chances of PM Keir Starmer's exit by 2026.
Analysis of Iranian Military Threat and Impact on Strait of Hormuz Markets
Tensions in the Strait of Hormuz escalate as Iranian military threats impact oil market predictions and liquidity levels.
Iran's Stance on US Relations and Its Impact on Peace Deal Markets
Iran maintains a firm stance against US concessions, impacting peace deal markets and indicating potential volatility in trading.
Understanding the IMO's Evacuation Plan for Ships in the Persian Gulf
The IMO is working on an evacuation plan for ships in the Persian Gulf, impacting market odds for transit through the Strait of Hormuz.
Potential Global Recession Following Strait of Hormuz Closure
Gunvor warns that a prolonged closure of the Strait of Hormuz could trigger a global recession, raising the likelihood of a U.S. recession by 2026.
Impact of Lebanon Missile Strike on Israel's Ceasefire Expectations
A Kornet missile attack in Lebanon raises concerns about the Israel-Hezbollah ceasefire, highlighting risks for investors.
Iran Questions US Credibility on Strait of Hormuz Blockade
Iran has raised skepticism towards Trump, stating any blockade lift must be publicly announced. Current odds sit at 85.5% for such an announcement.
Understanding the Market Dynamics of US-Iran Peace Talks and Sanction Relief
JD Vance's Islamabad visit raises hopes for US-Iran peace talks, shifting market odds on sanctions relief and potential outcomes.