Week in Review

Week in Review: Global Bond Yield Repricing Puts Cross-Border Portfolios in Focus

Cross-border investors assess higher global yields, weaker equities and elevated oil prices as interest-rate decisions [...]

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Week in Review

Week in Review: Mauritius Investors Navigate Higher Oil, Rates and Cross-Border Market Risk

Stronger US data, higher oil and divergent global markets put rates, currencies and offshore valuations [...]

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Week in Review

Week in Review: Mauritius Investors Weigh Lower Oil Against Persistent Global Inflation

Mauritius investors weigh lower oil against persistent global inflation as steady local rates and US [...]

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Week in Review

Week in Review: Mauritius Holds Rates as Global Yield Volatility Tests Offshore Markets

Mauritius holds rates at 4.75% as global yields, oil and dollar weakness reshape inflation risks [...]

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Week in Review

Week in Review: Mixed Markets as Inflation Cools

Softer inflation supported sentiment, while higher oil prices and mixed economic data kept markets cautious.

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Week in Review

Week in Review: Markets rally as soft jobs data cools rate hike fears

Soft US jobs data lifts equities as rate fears ease, while gold gains, China supports [...]

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Week in Review

Week in Review: Central Banks Hold Amid Rising Uncertainty

The Federal Reserve left its benchmark interest rate unchanged at 3.50%–3.75% for a fifth consecutive [...]

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Articles & News Week in Review

Week in Review: Markets Pause as Oil Surges and AI Optimism Faces Its First Test

Oil nears $100 as AI investment scrutiny pressures technology shares, reshaping inflation, interest-rate expectations and [...]

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