Global markets are navigating geopolitical tensions with surprising resilience, particularly in the US. Despite initial fears, financial assets show a weakening correlation with oil prices, while US equities remain robust. The dollar's strength is linked more to equity performance than oil, suggesting a shift in market focus towards corporate earnings and AI.
Steve Englander on US dollar, oil and the surprising market resilience
Global markets are navigating geopolitical tensions with surprising resilience, particularly in the US. Despite initial fears, financial assets show a weak…
