After years of underperformance, emerging markets are staging a powerful comeback. In 2025, they are experiencing their strongest rally in over 15 years, driven by a combination of a weaker…
In a year dominated by innovation and economic transition, Lazard Asset Management has taken a bold step forward with the launch of the Lazard Listed Infrastructure ETF (ticker: GLIX). This…
In today’s unpredictable financial world, risk analysis is not just a technical exercise — it’s survival. Investors who can anticipate where volatility may strike hold a decisive advantage. The year…
Financial markets move quickly, and significant changes in major indices can impact portfolios, investments, and overall financial strategies. For both retail and institutional investors, staying informed in real time is…
The FTSE 100 index, the benchmark of the London Stock Exchange, has reached a historic intraday high in October 2025, driven primarily by strong gains in the financial sector and…
Socioeconomic diversity in the financial sector has emerged as a critical discussion point in the United Kingdom. Recently, leaders from major financial institutions gathered at the Bank of England to…
Interest rates are the heartbeat of the global economy. Whether you’re applying for a mortgage, using a credit card, taking a student loan, or investing in the stock market, interest…
Debt has become one of the biggest financial challenges of our time. Credit cards, student loans, mortgages, car financing, and personal loans are at record highs worldwide. In 2025, millions…
In 2025, understanding macroeconomic factors is essential for making informed financial decisions. Inflation, interest rates, fiscal policies, exchange rates, and political developments directly influence investments, cost of living, and debt…
The financial sector in Europe is undergoing a major transformation. Building on the success of Open Banking, the European Union is now finalizing a new law that will reshape how…
 
				 
				 
				 
				 
				 
				 
				 
				 
				