Singapore and Malaysia navigated 2025’s trade uncertainty relatively well, allowing their central banks to ease only modestly. FX–equity correlations remain a common investor question. In Singapore ...
Traders should prepare for heightened volatility as several key macroeconomic events approach. With significant economic reports and the Federal Reserve’s decision, implied volatility (IV) levels ...
The latest macro data is sending mixed signals, reflecting both a "no landing" and a "soft landing," Morgan Stanley said. The bank recommends defensive sectors, including consumer staples, to navigate ...
The price action in the CEF market over the last few months has been fast and furious. The apparent Fed pivot and the associated drop in both credit spreads and interest rates has renewed investor ...
Ether has stabilised after a sharp sell-off, rebounding from key support as macro pressure eases and liquidation-driven selling subsides. Ethereum (Ether) has come under renewed pressure since the ...
Domestically attention will be on Industrial production data and updated fiscal deficit numbers offering clues on the pace of ...