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Growth Investing
Market Reactions to Trump's Iran Nuclear Statement and Implications for Traders
Trump's statement on Iran's nuclear commitment drops market odds for an April 30 deal. Traders need to watch for confirmations.
Market Analysis on IDF's Military Operations and Investor Strategies
IDF's new defense line raises uncertainty about suspension of military action against Hezbollah, suggesting traders reconsider current market predictions.
Examining the Connection Between Colonial Grievances and U.S. Influence in Greenland
A network of Trump allies is influencing Greenland's colonial history to bolster U.S. interests, with a potential market shift on the horizon.
U.S. Vice President Leads Iran Talks in Pakistan as Market Dynamics Shift
Vice President JD Vance's role in Iran talks heightens market expectations of a diplomatic meeting, impacting oil sanction relief prospects.
Iran's Military Statement Impacts Ceasefire Chances and Market Dynamics
Iran's military refuses ceasefire, dropping April 30 truce odds to 33.5%, impacting uranium stockpile and market volatility.
Impact of Iran's Hormuz Closure on Diplomatic Efforts and Market Dynamics
Iran's closure of the Strait of Hormuz is affecting diplomatic efforts and market dynamics, raising concerns for investors.
Iran's Political Landscape: Speculations on Regime Change Amid Rising Tensions
President Pezeshkian raises concerns over Iran amid assassination claims, with market odds of regime change by May 31 at 3.0%.
How Trump's Social Media Activity Affects US-Iran Negotiation Odds
Trump's social media posts are impacting US-Iran negotiation odds, decreasing peace deal probabilities significantly.
Understanding Recent Maritime Activity in the Strait of Hormuz and Its Impact on Shipping Traffic
Four civilian cruise ships have navigated the Strait of Hormuz, impacting market confidence in shipping traffic recovery.
Current Dynamics of the Israel-Hezbollah Conflict and Ceasefire Prospects
Hezbollah's recent IED attack in Lebanon raises doubts about a ceasefire as market odds for peace reach 0% ahead of March 2026.
Understanding Iran's Political Tensions and Market Implications
Iran's leadership is in focus as Ghalibaf declares readiness for martyrdom, affecting market confidence amid U.S. and Israel tensions.
Iran's Military Capacity and Its Implications for Regional Stability
Iran retains about 40% of drones and 60% of missiles post-strikes, with a 100% chance of military action expected by April 30.
Iran’s Rejection of EU Call Raises Risks for Oil Markets
Iran's refusal to guarantee open passage in the Strait of Hormuz may escalate tensions affecting oil markets and prices.
Market Reactions to Tensions in the Strait of Hormuz: What Investors Need to Know
Iran threatens US forces, causing ceasefire extension odds to plummet, signaling rising tensions in the Strait of Hormuz and market uncertainty.
Iran’s Military Movements and Market Implications for Investors
Iran's missile rearmament raises ceasefire tensions impacting market probabilities and potential investor returns.