Displaying 4 items of Expat Money Matters with the tag "market volatility".
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Weekly Market Update 01/04/2026
April 1st, 2026 | Season 1 | 6 mins 16 secs
brent crude 116, energy supply risk, financial podcast, geopolitical tension, global equities outlook, gold decline, houthi militants, investment insights, macro analysis, market volatility, middle east conflict, oil price surge, q1 earnings season, strait of hormuz, us iran conflict
A fast-moving update on the Middle East conflict and its growing economic impact. We break down what’s happening across oil, gold, and global equity markets, and what it could mean as tensions escalate into week five.
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Weekly Market Update 18/03/2026
March 18th, 2026 | Season 1 | 5 mins 17 secs
2026 markets, central banks, donald trump, energy crisis, financial news, geopolitics, global economy, investing, iran conflict, macro economics, market volatility, middle east war, oil prices, stock market
As the conflict with Iran enters its third week, financial markets are showing surprising resilience despite escalating headlines. This episode breaks down why US markets are outperforming global peers, the "tail risks" threatening energy infrastructure on Kharg Island, and why central banks are now caught between a rock and a hard place regarding interest rate cuts.
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Weekly Market Update 04/03/2026
March 4th, 2026 | Season 1 | 6 mins 31 secs
chase buchanan, commodities, geopolitics, gold, investing, market update, market volatility, middle east, natural gas, oil, portfolio management, s&p 500, wealth management
In this week's update, we address the escalating crisis in the Middle East and its immediate impact on global financial markets. We discuss the significant surges in oil, gold, and natural gas, the resilience of global equities, and why maintaining a disciplined, long-term investment strategy is crucial during periods of geopolitical uncertainty.
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Weekly Market Update 18/02/2026
February 18th, 2026 | Season 1 | 6 mins 54 secs
2026 economy., ai disruption, bank of england, market volatility, terminal value, uk investing, us inflation, wealth management
In this week's update, we analyse a significant shift in market sentiment as AI disruption moves beyond software and begins to threaten the traditional wealth management sector. We discuss the "shoot first, ask questions later" nature of current markets and why investors are re-evaluating the terminal value of companies facing "second-order" AI threats. Plus, we cover the latest US inflation data and what to expect from upcoming UK labour market reports.