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Retail investing
Challenges Ahead for US-Iran Negotiations: What Retail Investors Should Know
Iran's push for a pre-negotiation framework impacts the likelihood of US-Iran talks, affecting market dynamics and investor strategies.
Will Bitcoin Hold Above $60,000 Amid Geopolitical Tensions?
Bitcoin's price surge reflects traders' expectations to remain above $60,000, influenced by geopolitical tensions and market sentiment.
Trump Administration Collaborates with Automakers to Increase Weapons Production
The Trump administration partners with GM and Ford to boost weapons production amid depleting munitions, signaling a shift toward prolonged conflict.
Germany's Potential Role in Strait of Hormuz Security and Market Implications
Germany's Chancellor Merz suggests military support for the Strait of Hormuz is possible. What does this mean for international shipping security?
Impacts of Political Changes on EU Sanctions and Ceasefire Prospects
Orbán's loss and US oil sanctions boost EU sanctions against Russia, increasing chances for a ceasefire by May 2026.
Drift Protocol's Recovery Plan Supported by Tether Funding
Drift Protocol secures $127.5 million from Tether for recovery after an exploit, boosting confidence in Solana's price stability.
Lebanon's Refusal to Engage with Israel: Implications for Diplomatic Talks and Market Outlook
Lebanon's president's refusal to engage Israel creates hurdles for diplomatic talks, affecting markets despite prior expectations.
Understanding Iran’s Leadership Market: Key Insights and Implications for Investors
Recent speculations about Mojtaba Khamenei's health impact Iran's leadership change probabilities, raising critical market dynamics.
China's Assurance and Its Impact on the US-Iran Ceasefire Market
China reassures the US on weapons to Iran as ceasefire market reacts. Investors should stay alert to geopolitical shifts.
Impact of the US Blockade on Shipping and Investor Markets
The US blockade of the Strait of Hormuz causes 13 ships to turn back, raising questions about military engagement and market opportunities.
Missile Attack on Kyiv Raises Concerns Over Ceasefire Odds
Kyiv's missile attack has reduced ceasefire odds to 5.2% by May 31, 2026, raising concerns over Ukraine's air defense capabilities.
Understanding the Impact of U.S. Blockade on Iranian Ports and Market Sentiment
The U.S. blockade on Iran has significant market implications as investors assess its long-term effects on trading and diplomacy.
Understanding the Impact of US Involvement on European Market Dynamics
Friedrich Merz hints at potential US role in Europe. The ECB’s market sees static rates and a cautious approach toward inflation management.
Iran's Dramatic Increase in Drone Production and Market Implications Amid Ongoing Conflict
Iran has drastically increased drone production amid escalating US-Israel-Iran tensions, impacting market expectations on military actions.
Investors Eye Ceasefire Preparations and Market Movements in Lebanon
The IDF is set for a Lebanon ceasefire amid rising market optimism towards U.S.-mediated talks and potential stocks movement.