About this Episode

This Weekly Market Update episode breaks down a volatile week for global markets (30 March – 7 April 2026). We discuss the surge in Brent crude and European natural gas prices, which are reshaping inflation expectations and household costs for expats in Europe. We also analyse the "risk-off" sentiment that has seen US and European equities drop by 8-10%, while examining the silver lining for retirees as UK gilt yields top 5%. Finally, we provide essential updates on US tax strategy for high earners and explain why the Bank of England and ECB are now expected to hike rates despite stalling economic growth.