Weekly-Financial-Review-

Global Market Review: Navigating Geopolitical Shocks and Artificial Intelligence Volatility

During the week ending 31 July 2026, global financial markets faced extreme volatility. Robust corporate earnings driven by massive artificial intelligence spending clashed with stagflationary pressures from the Middle East. The closure of the Strait of Hormuz caused a severe energy supply shock, driving crude oil prices sharply higher.

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