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Defense
Germany’s Naval Deployment in the Mediterranean: Implications for UK Operations
Germany has deployed naval units in the Mediterranean, signaling potential UK actions regarding Hormuz oil shipping lanes.
Analyzing Market Predictions Amidst Ongoing Conflict in Lebanon
Israeli strikes in Lebanon have led to six deaths, as market indicators forecast a ceasefire by June 30 despite rising tensions.
Analyzing Iran's Military Capability and Market Impact on Regime Change
Iran's missile capabilities remain intact, affecting market perceptions of regime change, currently at 7.5% probability.
US Military Action Signals Increased Engagement in 2026
Recent US military strikes in 2026 suggest increased engagement abroad, impacting trader positions in the zero-strike market.
EU Leaders Consider Mutual Defense Clause Amid US-NATO Tensions
EU leaders consider invoking mutual defense support while US withdrawal odds from NATO rise amid tensions under Trump.
US Navy's Authorization on Iranian Vessels Raises Market Concerns
The US authorizes Navy action on Iranian boats, escalating conflict and affecting market odds for Strait of Hormuz traffic normalization.
What Recent Developments in Iran Could Mean for Investors
Iran's military posturing signals potential actions, with traders believing conflict with Israel is likely, impacting the regime's stability.
Understanding the Implications of Increased U.S. Naval Presence in the Middle East
The deployment of a third U.S. aircraft carrier to the Middle East influences market expectations around naval escort operations.
How Do Recent Military Actions Affect the Israel-Hezbollah Ceasefire Market?
Israel's military actions in Lebanon challenge a ceasefire, raising questions about Trump's endorsement and market expectations.
Understanding Market Reactions Amid Rising Tensions in the Israel-Iran Conflict
Coalition aircraft carriers are in the Middle East, impacting market expectations for crude oil amid the Israel-Iran conflict.
Market Implications of Pentagon Leadership Changes on UK-Iran Conflict
The Pentagon's recent leadership changes have not shifted market odds for UK action against Iran, underscoring cautious investor sentiment.
Understanding the Impact of NATO Speculations on U.S. Withdrawal Odds
Speculations around NATO and Spain spark discussions on U.S. withdrawal probabilities, currently sitting at 0%. What does this mean for investors?
US Military Actions in the Strait of Hormuz: Implications for Markets and Investors
The US has sent a second aircraft carrier to the Strait of Hormuz, impacting military actions and market dynamics surrounding Iran.
U.S. Missile Usage in Iran Raises Odds for China Invading Taiwan
Rising U.S. missile usage in Iran increases odds of a Chinese invasion of Taiwan, impacting markets and investment strategies.
Impact of U.S. Military Policy on Diplomatic Relations with Iran
The Senate's call for Trump to resume strikes on Iran lowers chances for diplomacy, impacting oil markets and investor sentiment.