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Markets 8-Hour Briefing

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Public Markets

Asian Markets Rebound

Asian Equities rebounded as risk appetite improved, with South Korean stocks surging by most since 2008 following their biggest one-day slump on record. Japanese Stocks recovered from a market rout triggered by the US-Israeli attack on Iran, as strong US economic data boosted sentiment. K Bank shares jumped in their trading debut as South Korean stocks rebounded from the previous day's crash.

Gold and Safe-Haven Assets

Gold prices rose on Middle East conflict and softer US dollar, with investors seeking safer assets amid geopolitical tensions. A billionaire investor with 16,000 kilos of gold sees a long-term bull case for the precious metal. Gold edged higher amid the ongoing U.S.-Iran conflict, with the dollar declining as the war in the Middle East entered its sixth day.

Iran Conflict Market Impact

US stock futures rose after Wall Street rebounded past Iran fears, with Broadcom jumping. The US Senate rejected a measure to halt the Iran war, as former NATO Ambassador Ivo Daalder believes that "everything is possible" due to the lack of direction in the conflict. The Australian dollar faces more downside risk in the near term due to the Iran conflict.

Chinese Economic Policy

China set its lowest growth target since 1991, in a tacit acknowledgment that its economic model is showing strains. The country will issue sovereign bonds worth $44 billion to recapitalize some of its largest banks. China's debt issuance plan is aligning with market expectations, easing concerns among bond traders who are supported by ample liquidity.

Credit Market Analysis

Goldman Sachs CEO David Solomon said he is keeping an eye on the private credit market, noting that "we're watching very closely to see if there's been a little bit too much aggression, frothiness" in credit markets. Goldman Sachs Asset Management said non-payment in private credit remains low, with few borrowers struggling to meet loan payments.


Private Equity

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Sector Investment

Sector Investment Highlights

EV charging investors recalibrate strategies amid global rollout slowdowns, seeking nodes that promise early returns. Meanwhile, transport resilience remains a core theme as haulage and air cargo firms navigate post‑pandemic supply shocks.

Infrastructure Outlook

Rail upgrades combine digitisation and electrification, nudging freight rail toward higher margins. In parallel, Port opportunities attract capital as trade patterns shift, offering upside even as deglobalisation signs surface.

Future Trends

Infrastructure future signals a shift from risk mitigation to resilience dividends, reshaping asset portfolios. Aviation assets continue to draw investors after pandemic‑era stability, while Pension collaboration pushes for policy reforms to unlock capital in nation‑building projects.