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Retail investing
Recent Strikes Impact Ceasefire Predictions and Crude Oil Market
Recent strikes between Russia and Ukraine lower ceasefire predictions to 5.9%, impacting crude oil and investment strategies.
Ceasefire Stability and Market Reaction Amid Demolitions in Southern Lebanon
Israeli forces have breached ceasefire terms in Lebanon, but market reactions remain stable. Key watching points for investors emerge.
Bitcoin Surges as Middle East Tensions Ease: What Retail Investors Should Know
Bitcoin's rise to $74,000 amidst easing Middle East tensions signals strong market confidence, making a dip unlikely.
Understanding the Current State of XRP and Its Market Correlations
XRP sees a $13.74 million inflow but market confidence falters, with a price near $1.80 and investors cautious amid geopolitical tensions.
U.S. Sanctions Impact Iranian Demand Relief Negotiations
The U.S. imposes sanctions on Iran-backed militias as negotiations for sanction relief stir market fluctuations and investor caution.
Schwab Opens Bitcoin and Ethereum Trading: What Investors Should Know
Schwab's launch of Bitcoin and Ethereum trading signals potential market shifts for retail investors as they navigate crypto investments.
Impacts of Short Trades on Crude Oil Predictions and Market Dynamics
A sizable short trade in Brent crude precedes news on Strait of Hormuz, influencing oil prices and market predictions. What's next?
Market Impact of Sanctioned Tankers Transiting the Strait of Hormuz
The passage of sanctioned tankers through the Strait of Hormuz reveals gaps in the US blockade and impacts market expectations.
Boyaa Interactive Shifts to Exclusive Bitcoin Focus, Impacts Market Sentiment
Boyaa Interactive's shift to Bitcoin-only treasury strategy signals changing institutional demand, but skepticism remains as market volatility looms.
Understanding the EU Military Simulations and NATO Withdrawal Concerns
The EU's military simulations highlight concerns over potential US withdrawal from NATO, with market odds reflecting skepticism about immediacy.
Overview of Trump's Ongoing Blockade on Iranian Ports and Market Implications
Trump's blockade of Iranian ports remains despite the strait's reopening, with market expectations and trading implications shifting.
Analyzing the Probability of a U.S. War Declaration Against Iran by Year-End 2026
The market indicates a 7.5% chance of a U.S. war declaration against Iran by December 2026, revealing cautious trader sentiments.
Political Turbulence in Iran and Its Impact on Market Predictions
Iran's Revolutionary Guards arrested 127 people, impacting investor expectations and market predictions regarding regime stability.
Iranian Oil Exports Amidst Blockade: Market Implications and Insights
Iran's oil exports continue despite U.S. blockades, shaping market expectations and highlighting the significance of Kharg Island's control.
Iran’s Parliamentary Speaker Rejects US Negotiation Claims and Threatens Strait of Hormuz
Iran’s leader denies US negotiations and threatens the Strait of Hormuz, impacting markets and investor sentiment on a potential peace deal.