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Our education section provides in-depth guides and articles across a range of topics.
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Understanding the Rise in Gold Prices Amid Political and Economic Uncertainty
UK bond yields exceed 5% as oil prices rise, shifting traders' focus to gold amid geopolitical tensions. Key factors for investors explored.
Mossad's Impact on Iranian Market Dynamics and Investor Sentiment
Mossad's recent operations in Iran increase market speculation on regime stability and leadership changes, impacting trading dynamics.
Aave's DeFi United Relief Fund Aims to Offset Kelp DAO Exploit Losses
Aave's DeFi relief fund secures $303M to cover $292M Kelp DAO exploit losses, but Ethereum's $10k odds remain unchanged at 4%.
BitMNR's Strategic ETH Acquisition: Implications for Ethereum Investors
BitMNR recently acquired 101,901 ETH for $234M, increasing its total to nearly 5M ETH, reflecting institutional interest in Ethereum.
Market Trends: Analyzing U.S. Treasury Yields, Dollar Strength, and Oil Prices
Rising U.S. Treasury yields, a stronger dollar, and increasing oil prices reflect market anxiety stemming from tensions in the Strait of Hormuz.
Iran's Oil Storage Crisis: Impact of US Sanctions on Exports
Iran's oil exports plunge due to US sanctions, creating storage challenges and affecting global oil market dynamics.
Oil Prices Remain Uncertain Amid Rising Geopolitical Tensions
Trump's rejection of Iran's peace proposal heightens oil price uncertainty, with market sentiment reflecting significant geopolitical concerns.
Significant Impact of Ukraine's Strikes on Oil Prices
Ukraine's attacks on Russian oil infrastructure could lead to rising crude prices by June, impacting traders and global markets.
Political Turmoil Surrounding Keir Starmer Amid Mandelson Vetting Scandal
UK MPs interrogate Sir Philip Barton over the Mandelson scandal as market expectations for Starmer's resignation shift.
Iran's Regime Stability: Market Insights and Investor Implications
Iran's regime shows signs of stability with a low 3% chance of collapse by May 31, influencing market expectations and investor strategies.
Current Status of Trump's Iran Pressure Strategy and Its Market Implications
Trump's Iran strategy faces challenges, with traders losing faith in a resolution. Key dates loom as market dynamics shift.
Impact of the First LNG Shipment from Strait of Hormuz on Market Sentiment
The first LNG shipment since the Iran war signifies market uncertainty, with only a 1% chance of reaching normal shipping levels.
Understanding the Rising Odds of US-Iran Diplomatic Talks in Islamabad
Interest in US-Iran diplomatic talks in Islamabad is rising, with traders cautious about market movements amidst shifting odds.
Impact of Iran Conflict on China's Economy and Oil Market
The Iran conflict is affecting China's economy, with car sales down and crude oil prices fluctuating. Traders remain cautious in the market.
Analyzing the Impact of Israeli Air Strikes on Market Sentiment Regarding Hezbollah Ceasefire
Israeli air strikes on Hezbollah signal military focus. Market pricing remains stable, indicating strong expectations for a ceasefire.