Economic News

JDR Securities Market Insights: Navigating Volatility – The Week in Review (June 13-18, 2025)
The week of June 13-18, 2025, was a period of intense market activity, dominated by escalating geopolitical tensions in the Read more
Market Movers: Geopolitics, Tariffs & Data Shake FX & Oil
The past three days (June 11-13) were packed with action across global financial markets, especially for currencies and oil. The Read more
The London Meeting: US-China Trade Discussions
Officials from the United States and China held trade negotiations in London, concluding with an agreement on a "framework" to Read more
Global Growth Worries Build as Trump-Xi Rift Returns and RBA Faces Policy Reckoning
Markets entered midweek trading on edge, as fresh evidence of slowing growth from Australia, guarded policymaker comments from Japan, and Read more
May Ends with Heightened Risk Signals as Trade, Inflation, and Policy Diverge
The final trading day of May closes out a month marked by sharp divergence in global data, rising policy risk, Read more
The Unseen Storm – Why the Global Bond Crisis Demands Your Immediate Attention
Executive Summary:The global financial landscape is entering a precarious new phase, driven by an escalating crisis in sovereign debt markets Read more
Gold Buyers Regain Control as $3330 Faces Critical Test
XAU/USD opened Thursday’s session with structured institutional demand, driving price steadily higher as buyers reclaimed control of key levels. The Read more
Sterling Soars, Dollar Slumps as UK Inflation Shocks Markets
JDR Securities | Market Insight – 15 May 2025 Sterling surged to its highest level in three years against the Read more
Markets in Motion: Euro Rallies, Yen Strengthens, Gold Slides Ahead of US PPI
May 15, 2025 – Global financial markets are navigating a critical inflection point as currency movements, precious metal prices, and Read more