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Our education section provides in-depth guides and articles across a range of topics.
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Bonds
Understanding the Connection Between Currency Movements and Inflation in Japan
Japan's currency fluctuations significantly impact inflation, influencing monetary policy decisions and investment strategies for traders.
RBA Indicates More Rate Hikes May Be Necessary to Combat Inflation
The Reserve Bank of Australia signals that additional interest rate hikes may be needed as inflation concerns remain high.
Impact of US-Iran Ceasefire on Markets: Insights for Investors
The US-Iran ceasefire sparks a market rally, driving down oil prices and lifting the Dow, Nasdaq, and cryptocurrencies like Bitcoin.
Nvidia's Strategic Return to the Bond Market: What Investors Need to Know
Nvidia is returning to the bond market seeking to raise $25 billion, significantly more than its previous $5 billion issuance.
Nvidia Plans Historic $20 Billion Bond Sale to Fuel AI Expansion
Nvidia aims to raise $20 billion in a historic bond sale to fuel AI projects, marking a tenfold increase from its previous debt offerings.
Kevin Warsh's First Month as Fed Chair and Its Impact on Inflation and Cryptocurrencies
Kevin Warsh faces inflation rates of 4.2% in his first month as Fed Chair, signaling potential interest rate hikes and crypto market pressures.
Investing in Chinese Government Bonds Amid Global Turmoil
Chinese government bonds gain attraction as investors seek safety in volatile times, contrasting with U.S. Treasuries and European debts.
Fitch Ratings Downgrades China's Economy: What It Means for Investors
Fitch Ratings has downgraded China's economy, signaling serious fiscal concerns. This downgrade may impact investor confidence and borrowing costs.
US Treasuries Rally as Market Adjusts to Diplomatic Shift on Iran
US Treasuries rally as investors reassess Federal Reserve rate hike expectations following a diplomatic agreement on the US-Iran conflict.
Australia's Reserve Bank Likely to Hold Interest Rates Amidst Inflation Pressures
Australia’s Reserve Bank is poised to keep rates steady at 4.35%, marking a pause in rate hikes amid rising inflation pressures.
Japanese Regional Banks Return to Government Bonds: What You Need to Know
Japanese regional banks are resuming purchases of government bonds as yields recover, signaling a shift in investment strategy.
Understanding the US Government's Rising Borrowing Costs and Its Impact on Markets
US government borrowing costs reach new highs, affecting various markets including crypto and housing. Investors need to stay informed.
Interest Rate Hikes Unlikely Until 2027: Understanding the Shift in Market Sentiment
Interest rates are now expected to rise by 2026 due to inflation driven by the Iran conflict, affecting speculative assets like Bitcoin.
Insight into the Rise of Corporate Bond Issuances by Major U.S. Tech Firms
In 2026, major U.S. tech companies saw a 47% increase in bond sales, raising $159 billion, with implications for investors and sector health.
European Central Bank Signals Shift in Monetary Policy with Interest Rate Hike
The ECB has raised interest rates amid rising inflation, signaling possible further hikes, driven by global oil supply concerns.