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Daily Market

Private Credit’s Brush Fire Just Got Bigger

Redemptions are rising, loan quality is slipping, and private credit managers are feeling the heat. This is what the road ahead may look like.
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Daily Market

The Fed Can’t Drill for Oil, but It Can Protect Jobs

The labor market is deteriorating, growth is slowing, and the Fed’s passive stance may be a costly mistake.
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Daily Market

The Fed Is Stuck. Jensen Huang Is Not.

The Fed is stuck—but AI isn’t. Why Jensen Huang and NVIDIA may be the real economic backstop now.
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Daily Market

A Superstorm Is Brewing in Financial Markets

Three dangerous market forces are converging: private credit stress, slowing GDP, and an oil shock tied to war with Iran.
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Daily Market

The Cracks Are Becoming Fault Lines

Private credit is being stress-tested by war, inflation, weak software credits, and investors who suddenly want cash back.
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Daily Market

Oil, Drones, and the New Market Reality

A conflict in the Middle East is reminding investors that oil still drives the global economy—and market volatility.
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Daily Market

The Market’s Favorite Placebo: Strategic Oil Reserves

Energy-driven inflation is back in focus as the Strait of Hormuz disruption collides with Fed policy expectations.
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Daily Market

The Market’s Emotional Whipsaw

When news hits faster than facts, markets move on emotion. A look at why restraint may be the smartest strategy during geopolitical turmoil.
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Daily Market

When Geopolitics Hits the Gas Tank

Crude oil spiked above $100 amid Middle East tensions. Here’s how that surge moves from the oil well to the gas pump—and why it may not last.
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Daily Market

The Iran Succession Risk Nobody Is Pricing

Rising oil prices are only the first derivative of this geopolitical crisis. The real risk lies in how long it lasts.
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