
Gold Rally Reflects Deeper Dollar and Policy Anxiety
Gold’s surge in 2025, marking its strongest annual performance since the late 1970s, is increasingly being interpreted as a structural signal rather than a speculative

Gold’s surge in 2025, marking its strongest annual performance since the late 1970s, is increasingly being interpreted as a structural signal rather than a speculative

The Federal Reserve’s decision to terminate multiple supervisory notices previously issued to Citigroup marks a notable development in the evolving relationship between U.S. regulators and

Washington’s decision to blockade sanctioned oil tankers moving in and out of Venezuela is likely to further restrict foreign currency inflows into the economy, reinforcing

The U.S. Food and Drug Administration’s move to fast track two experimental Merck therapies highlights a broader shift in how health policy, industrial strategy, and

Medline’s strong Nasdaq debut has become a key signal in how capital markets are recalibrating risk appetite amid shifting dollar and rate dynamics. Shares of

The Trump administration has formally pressed the Federal Reserve to clarify whether it has returned to profitability, a request that places the central bank at

Global markets moved into a defensive configuration as equity benchmarks softened while precious metals and oil advanced, reflecting a shift in how investors are reading

Hong Kong’s equity market recorded a notable transaction as a leading digital asset platform completed a sizeable public offering, signaling selective investor appetite for regulated

Canada has introduced a revised regulatory framework aimed at sharply reducing methane emissions from its oil and gas sector, signaling a recalibration of climate policy

British financial authorities are reassessing capital requirements for specialist trading firms as part of a broader effort to modernize regulation and improve market competitiveness. The