Global markets declined sharply in February following Russia's invasion of Ukraine, which triggered major geopolitical uncertainty and intensified inflation concerns globally.
Open ReviewGlobal markets experienced significant volatility in January as investors reacted to rising inflation, aggressive central bank tightening expectations and sharply higher bond yields.
Open ReviewGlobal markets experienced increased volatility in November as inflation concerns intensified and the emergence of the Omicron coronavirus variant unsettled investors late in the month.
Open ReviewGlobal markets rebounded strongly in October as corporate earnings remained robust and investors became more comfortable with inflation and central bank tapering expectations.
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