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Which Global Stock Indices Benefit From Higher Oil Prices?
Which Global Stock Indices Benefit From Higher Oil Prices?
2026-07-24
See which global stock indices may gain or lose if oil reaches $100, based on producer weight, import dependence and inflation exposure.
Index Futures vs Index CFDs: Key Differences
Index Futures vs Index CFDs: Key Differences
2026-07-14
Compare index CFDs and index futures on cost, leverage, expiry, and counterparty risk, with contract specs and regulator data to help you understand each.
DXY Today: Dollar Slips Despite Elevated Yields as Markets Reassess Rate Outlook
DXY Today: Dollar Slips Despite Elevated Yields as Markets Reassess Rate Outlook
2026-07-10
DXY is stuck near 100.9 even as Treasury yields hold near multi-month highs. Why high yields aren't lifting the dollar, and the levels that decide what's next.
S&P 500 Returns July 2026: Can the 11-Year Winning Streak Survive?
S&P 500 Returns July 2026: Can the 11-Year Winning Streak Survive?
2026-07-09
S&P 500 returns in July 2026 test an 11-year winning streak as CPI, yields, and Q2 earnings decide whether the run survives.
S&P 500 Predictions 2026: 7,950 Is the Base Case, Not the Ceiling
S&P 500 Predictions 2026: 7,950 Is the Base Case, Not the Ceiling
2026-07-06
S&P 500 predictions for 2026 put 7,950 as the base case, with earnings upgrades and AI profits deciding whether 8,500 comes into view.
Dow Jones Record High: The Defensive Rotation Behind 51,562
Dow Jones Record High: The Defensive Rotation Behind 51,562
2026-06-05
The Dow Jones hit a record 51,561.93 as capital rotated from AI tech into healthcare, financials, and small caps. Here is what drove it and what to watch.
FTSE 100 Outlook 2026: Why the UK’s Blue-Chip Index Still Has Room to Run
FTSE 100 Outlook 2026: Why the UK’s Blue-Chip Index Still Has Room to Run
2026-05-29
FTSE 100 outlook 2026: why global earnings, dividends, financials and sector resilience could keep the UK’s blue-chip index supported near record highs.
Russell 2000: Small Caps Steal the Spotlight in 2026’s “Great Rotation”
Russell 2000: Small Caps Steal the Spotlight in 2026’s “Great Rotation”
2026-05-26
Russell 2000 small caps lead 2026’s Great Rotation as rate cuts, earnings growth, M&A activity, and domestic demand reshape U.S. market leadership.
DAX Index Guide: How Germany’s Market Benchmark Works
DAX Index Guide: How Germany’s Market Benchmark Works
2026-05-26
Learn what the DAX Index is, how Germany’s market benchmark works, and why rates, energy prices, exports, and sector rotation drive its performance.
EURO STOXX 50’s 2026 Rebound Puts Europe’s 2025 Rally on Trial
EURO STOXX 50’s 2026 Rebound Puts Europe’s 2025 Rally on Trial
2026-05-20
EURO STOXX 50’s 2026 rebound tests whether Europe’s 2025 rally can last, as resistance, earnings breadth and sector rotation shape the next move.
Dogs of the Dow 2026: Dividend Trade Returns as AI Crowds Growth
Dogs of the Dow 2026: Dividend Trade Returns as AI Crowds Growth
2026-05-14
Dogs of the Dow 2026 returns as investors weigh dividend income, AI-led growth concentration, Treasury yields and value-trap risk.
CAC 40 Peace Rally Trap: Why Falling Oil May Not Be Enough
CAC 40 Peace Rally Trap: Why Falling Oil May Not Be Enough
2026-05-08
The CAC 40 peace rally looks fragile amid falling oil inflation pressure but fails to solve weak luxury demand, TotalEnergies risk and French macro headwinds.
Dow Jones in 2026: Why One of America’s Oldest Stock Indexes Needs a Closer Read
Dow Jones in 2026: Why One of America’s Oldest Stock Indexes Needs a Closer Read
2026-05-05
Dow Jones in 2026 needs context as price weighting, sector rotation, and index divergence reshape how its market signal should be read.
DAX 40 Rebound: What It Means for European Stocks
DAX 40 Rebound: What It Means for European Stocks
2026-04-09
DAX 40 rebound explained: how energy shocks, cyclical sectors, and risk appetite shape European stocks and the Germany index.
Why the VIX Is Flashing Fear While the Market Refuses to Break
Why the VIX Is Flashing Fear While the Market Refuses to Break
2026-04-03
VIX is flashing fear, but strong breadth and small-cap resilience suggest the market is absorbing bad news instead of breaking lower.