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Stocks
Gold Prices Rise as Traders Await U.S.-Iran Developments
Traders watch for U.S.-Iran dialogue as gold prices rise, reflecting market skepticism amid fluctuating geopolitical tensions.
Renewed U.S.-Iran Negotiations Lead to Declining Oil Prices
Oil prices are declining as renewed U.S.-Iran negotiations become more likely, leading to decreased odds of WTI reaching $160 by April.
Evaluating the Impact of U.S.-Iran Relations on Oil Sanctions and Market Behavior
Trump claims China will stop sending weapons to Iran as oil sanction relief odds rise to 36.5%, highlighting market uncertainties and geopolitical stakes.
Implications of Possible Trump Tariff Reinstatement on U.S.-China Relations
Trump tariffs may return by July, raising the chances of a summit with China by May 31 to 81.5%. What does this mean for investors?
Understanding the US Naval Blockade on Iran and Its Market Implications
The US has initiated a naval blockade on Iran, impacting market dynamics and trading strategies amid heightened tensions.
U.S. Treasury Freezes Iranian Bank Accounts Amid Military Tensions
The U.S. Treasury is freezing Iranian bank accounts amid military tensions, impacting Trump's sanction relief probabilities.
Geopolitical Risks in the Strait of Hormuz and Their Market Impact
Concerns over Iranian mines in the Strait of Hormuz increase UK warship deployment odds to 10%, impacting oil market dynamics.
Iran Arrests Separatist Leader Amid Market Uncertainty on Regime Stability
Iran arrests an Ahwazi leader, reflecting government control. Odds of regime change drop to 4.5%. Monitor dissent for investment strategies.
Market Insights on Israeli-Hezbollah Ceasefire Probability and Trader Reactions
Market reactions to ceasefire probabilities between Israel and Hezbollah reveal significant trader optimism despite ongoing conflict.
U.S. Troop Deployment and Its Implications for Military Action in the Middle East
The U.S. is deploying troops to the Middle East, impacting market sentiment on Gulf State military actions against Iran.
US-Iran Ceasefire Boosts S&P 500 Outlook Amid Easing Geopolitical Tensions
A fragile ceasefire between the US and Iran boosts S&P 500 predictions, reflecting high market confidence in a positive opening.
Impact of Geelong Refinery Fire on Crude Oil Prices and Supply
The Geelong refinery fire raises crucial questions for oil supply and prices. Investors must monitor upcoming announcements for potential market shifts.
S&P 500 Market Sentiment Surges Following Geopolitical and Earnings News
The S&P 500 contract on Polymarket soared to 100% certainty after news of a U.S.-Iran ceasefire and strong Bank of America earnings.
What to Expect from Trump and Putin's Upcoming Visits to China
Trump's confirmed trip to China and its implications for investors as conflicts may influence travel plans and market perceptions.
Key Insights on Federal Reserve Rate Predictions and Market Reactions
Cleveland Fed President Hammack highlights ongoing inflation issues, impacting market expectations for federal rates and investor strategies.