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Financial Services
Iran Army Day: Military Strength and Market Implications
Iran celebrates Army Day while market speculates a 7.5% chance of US declaring war, indicating rising long-term conflict risks.
Recent Iranian Navy Actions and the Impact on UK Warship Deployments
Iran's navy forced two Indian ships to turn back, impacting UK warship deployment probabilities, which now stand at 7.5%.
Analyzing the Current Situation in the Strait of Hormuz and Its Market Implications
Iran has tightened control over the Strait of Hormuz, impacting market dynamics significantly and pointing to strategic investment opportunities.
Iran's Strait of Hormuz Closure Sends Shockwaves Through Financial Markets
Iran's closure of the Strait of Hormuz affects Bitcoin and Ethereum, sparking market speculation on UK naval action and diplomatic outcomes.
How the Iran Conflict is Impacting Global Energy Stability and Economic Prospects
The Iran conflict poses risks to energy supply and U.S. economic stability, potentially leading to recession by 2026.
Lebanon’s Military Enforcement and Market Shifts During Ceasefire
Lebanon's army enforces ceasefire while market confidence rises, indicating potential stability in Israel-Hezbollah relations.
Macron's Accusations Against Hezbollah and Market Reactions
Macron accuses Hezbollah of killing a UN peacekeeper, raising ceasefire odds in Israel and Lebanon to 94%. What does this mean for investors?
Potential Escalation of US-Iran Tensions: What Investors Should Know
As tensions rise between the US and Iran, traders are reassessing the risks in the potential for conflict and its market implications.
Understanding the Implications of the VIX Drop and S&P 500 Predictions
The VIX plummeted 44% as US-Iran tensions eased, pushing the S&P 500 prediction market to 100% YES for April 15.
Understanding Israel’s New Military Strategy and Market Implications
Israel's new "Yellow Line" signals military escalation while traders remain confident in a ceasefire with Hezbollah by late April.
Current Prospects for a US-Iran Ceasefire
Iran's firm stance on negotiations currently puts the odds of a US-Iran ceasefire at 17% by April 21, with fluctuating market dynamics.
Market Reaction to Iran's Silence on US Proposals and What It Means for Investors
Iran's lack of response to US proposals keeps market odds at 100% for a strike by April 30, creating uncertainty for investors.
Iran's Stance on US Negotiations: Market Insights and Predictions
Iran refuses talks with the US, affecting uranium enrichment negotiations. Market shows varying predictions for peace and resolution.
Understanding Iran's Uranium Enrichment Strategy and Market Implications
Iran's Supreme National Security Council remains firm on uranium enrichment, impacting trading and ceasefire market expectations.
Ukraine's Strikes on Russian Oil Infrastructure: Global Market Implications
Ukraine's attacks on Russian oil infrastructure could reduce global supply, impacting prices and trading strategies in the crude oil market.