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Understanding Oil Market Pressures Amid Geopolitical Tensions
Conflicts in Iran are unsettling oil markets, with WTI Crude Oil remaining steady at 1.4% for an April resolution amid geopolitical tensions.
SEC Takes Action Against Donald G. Basile Over Failed Bitcoin Latinum Offering
The SEC has charged Donald G. Basile over a failed $16 million crypto offering tied to Bitcoin Latinum, citing fraud and misappropriation.
Understanding Bitcoin's Liquidation Risks and Market Sentiment
Bitcoin faces $8.88 billion in liquidation risk at $67,180, influencing trader predictions for April's market movement.
Understanding Recent Developments in Iran and the Strait of Hormuz
Iran's military rebukes its Foreign Minister while markets indicate military action by April 30 is still 100% probable.
Impact of the Strait of Hormuz on Oil Prices and Market Sentiment
An $800 million bet on oil precedes Iran's news on the Strait of Hormuz, leading to a dip in prices and cautious market reactions.
Morgan Stanley Unveils First Bank-Affiliated Bitcoin ETF on NYSE Arca
Morgan Stanley has launched the MSBT Bitcoin ETF on NYSE Arca, marking the first U.S. bank-affiliated spot Bitcoin exchange-traded product.
Lebanon Investigates UNIFIL Attack Amid High Market Confidence in Israeli Military Action
Lebanon commits to investigating the UNIFIL attack as markets reflect high expectations for Israeli military action in Beirut.
Impact of the Strait of Hormuz Opening on Oil Prices
Iran announces the Strait of Hormuz is open, leading oil prices to drop to $80 per barrel. What does this mean for traders and investors?
Trump's Tough Stance on Sanction Relief Reflects in Oil Market Expectations
Trump's remarks on Iranian oil sanctions signal a tough stance, impacting market expectations and trade opportunities.
Understanding the Dynamics of Iranian Military Actions Against Israel and Market Reactions
Iran's military claims extensive strikes on Israel, with traders fully anticipating further actions by April 30, while Israeli responses remain uncertain.
Iran Rejects Uranium Transfer to U.S. - Impacts on Nuclear Agreement Negotiations and Market Implications
Iran has rejected uranium transfer to the U.S., reducing the chances of a deal and impacting market expectations for agreements.
Strategic Gains in Israel Military Action Market Reflect Urgency and Opportunity
The recent spike in Israel’s military action market highlights strategic gains, volatility, and investment opportunities as tensions unfold.
Impact of Closure in the Strait of Hormuz on Oil and Fertilizer Markets
The Strait of Hormuz faces prolonged closure, affecting oil prices and food supply, with traders doubting normalization by April.
Analysis of the U.S. Blockade and IRGC Control in the Strait of Hormuz
The ongoing U.S. blockade and IRGC control limits vessel transits in the Strait of Hormuz, reflecting low market liquidity and trading odds.
Understanding the Impact of Israeli Artillery Fire on Regional Ceasefire Stability
Recent Israeli artillery fire in Lebanon raises doubts about the April 16 ceasefire, impacting regional stability and investor outlook.