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How to Protect a Portfolio When Liquidity Dries Up
Giulia Rinaldi
5 February 2026 - 21:03
If liquidity, not inflation, shapes markets in 2026, investors must rethink portfolios. When trading tightens, flexibility and risk control matter more than chasing returns.
The Global Challenge of Inflation Control in a Fragile Economy
Nildem Doganay
5 February 2026 - 17:34
Central banks must balance lowering inflation while supporting economic growth. Global uncertainty and high debt levels are making monetary policy decisions more complex and cautious.
Why Investors Keep Turning to Gold When Markets Start Feeling Unpredictable
Nildem Doganay
5 February 2026 - 16:20
Rising global uncertainty and changing interest rate expectations are driving investor demand for gold, reinforcing its status as a key safe-haven investment.
Global Tech Stocks Slide as AI Disruption Fears Trigger Sharp Rotation
Giulia Rinaldi
5 February 2026 - 15:15
Global markets saw software and AI stocks slump on disruption fears, while defensive sectors led gains and gold surged. Analysts debate if this rotation is structural or short-lived.
Stagflation: why investors still fear a risk that hasn’t arrived
Nildem Doganay
5 February 2026 - 14:47
Stagflation reflects the risk of high inflation alongside weak growth, a combination that restricts policy options. Even without materialising, the fear alone is enough to shape investor behaviour and keep markets cautious.