Big Moments
Need Big Decisions

On the pitch or in the markets, how you
think in pressure moments shapes the result.

Trading is risky. Proceed wisely

Two Worlds. One Playing Field

Football is full of split-second calls: Hold the ball?  Switch the play? Go for goal?
Trading follows the same rhythm: Prices move.  Pressure builds. Timing is everything.
A single decision can define the result.

Who Do They Back When It Matters Most?

Three players. Three positions. Three decision mindsets. Find out which
legends they choose to HOLD, and which they’d TRADE.

Latest Insights

Forex

15 Apr 2026

Something Big Is Happening to the Nasdaq100

At first glance, the idea seems simple. If a market becomes “overbought”, a pullback should follow. That assumption usually comes from RSI, where readings above 70 are often interpreted as a warning that prices may have moved too far, too quickly.

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Forex

14 Apr 2026

Global Risk Premium: Everything You Need To Know

Financial markets are not only driven by economic data. They are also constantly pricing uncertainty. This is where the idea of the global risk premium comes in. In simple terms, it is the extra return investors expect for taking on risk in an uncertain world. When uncertainty rises, that required return increases, and the impact is often felt across equities, bonds, currencies and commodities at the same time.

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Forex

12 Apr 2026

Ceasefire Relief Rally Unwinds the Oil Shock and Weakens the Dollar | Weekly Recap: 6-10 April 2026

Markets entered the week trading largely on the geopolitical narrative surrounding the Middle East, with investors focused on whether tensions between the US and Iran would evolve into a prolonged disruption of global energy flows. Oil prices had surged in the previous week as markets priced a higher probability of supply interruptions through the Strait of Hormuz, raising concerns that a renewed energy shock could reinforce inflation pressures just as central banks were attempting to stabilise financial conditions.

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Forex

06 Apr 2026

Energy & Geopolitics Rattle Markets | Weekly Recap: 30 March – 3 April 2026

Global markets saw volatile trading as energy price swings and geopolitical tensions pushed yields higher and tightened financial conditions, while a mid-week improvement in sentiment supported a selective rebound in equities.

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Forex

03 Apr 2026

Q1 2026: Global Market Update & Outlook

In Q1 markets shifted noticeably as investors grappled with rising energy prices, sector rotation, and growing uncertainty around the pace of global monetary easing. The optimism that characterised the final months of 2025 faded as commodity markets surged and equity leadership changed direction. Energy stocks became the dominant outperformer across global markets, while technology and consumer sectors lost momentum. At the same time, bond markets experienced renewed volatility as investors reassessed inflation risks and the timing of interest rate cuts.

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