Market Analysis

Why Can a Stock Fall After Good Earnings?
Fundamental Analysis

A company reports rising revenue, stronger profits and earnings above analyst forecasts. On the surface, the announcement appears positive. Yet instead of rising, its share price falls sharply. This reaction can seem confusing when the headline figures suggest that the business is performing well.

Read More
View More

Market News

US CPI in Focus as Markets Weigh September Fed Rate Hike

Aug 12, 2026

US CPI in Focus as Markets Weigh September Fed Rate Hike

US inflation returns to the centre of the market conversation today, with investors looking to the latest Consumer Price Index (CPI) report for clues on what the Federal Reserve might do in September. Economists expect headline inflation to ease slightly to 3.4% year on year in July, from 3.5% in June, while core CPI, which excludes food and energy, is forecast to slow to 2.5%. On a monthly basis, headline prices are expected to rise 0.1%, with core prices increasing 0.2%.

Read More
US ISM Services PMI Forecast at 54.0 as Markets Assess Economic Momentum

Aug 05, 2026

US ISM Services PMI Forecast at 54.0 as Markets Assess Economic Momentum

Investors are awaiting today's release of the US ISM Services Purchasing Managers' Index (PMI), one of the most closely watched indicators of economic activity. Economists expect the index to come in at 54.0, a level that would signal continued expansion in the services sector. Any reading above 50 indicates that business activity is growing, while a figure below 50 points to contraction. Given that services account for around 70% of the US economy, the report is considered one of the clearest monthly indicators of underlying economic momentum.

Read More
Markets Price a 70.6% Chance of Fed Pause Ahead of Policy Decision

Jul 29, 2026

Markets Price a 70.6% Chance of Fed Pause Ahead of Policy Decision

Investors are focused on today's Federal Reserve policy decision, with interest rate futures indicating a 70.6% probability that policymakers will leave rates unchanged at 3.50% to 3.75%. Markets continue to assign a 29.4% probability to a 25-basis-point increase, highlighting that some uncertainty remains despite expectations favouring a pause.

Read More
US Inflation Cools to 3.5%, Prompting Markets to Reprice Fed Outlook

Jul 15, 2026

US Inflation Cools to 3.5%, Prompting Markets to Reprice Fed Outlook

US inflation slowed to 3.5%, strengthening expectations that price pressures are easing and prompting markets to reassess the Federal Reserve's policy outlook. The latest CPI data weighed on the US Dollar, supported gold and lowered Treasury yields.

Read More
Brent Crude Holds Above $77 as Tensions Resurface in Middle East

Jul 09, 2026

Brent Crude Holds Above $77 as Tensions Resurface in Middle East

Oil prices remained volatile on Thursday as renewed tensions in the Middle East continued to keep energy markets on edge. Brent crude traded around $77 per barrel, while West Texas Intermediate (WTI) hovered near $73, as investors weighed the risk of supply disruptions against hopes that the conflict would not spread further. Despite easing from the highs reached earlier this week, both benchmarks remain comfortably above the levels seen before the latest escalation, highlighting how geopolitical risks continue to underpin oil prices.

Read More
View More

Educational

Behavioural Biases in Investing: 6 Pitfalls To Watch Out For

Aug 20, 2026

Behavioural Biases in Investing: 6 Pitfalls To Watch Out For

Behavioural biases can influence how investors interpret information and make decisions. Explore six common investment biases and how they can affect investor behaviour.

Read More
View More

Company News

EC Markets at Money Expo India 2026 | Booth 42

Aug 20, 2026

EC Markets at Money Expo India 2026 | Booth 42

EC Markets is heading to Money Expo India 2026 as a Diamond Sponsor. Join us at Booth 42 in Mumbai on 29–30 August for industry insights, partnership opportunities, event activations and exclusive prizes.

Read More
View More

Videos

CSR

EC Markets Donates $7,500 to Seychelles Pet Haven Society
CSR

EC Markets has donated $7,500 to the Seychelles Pet Haven Society to help expand kennel space for vulnerable dogs. During a visit to the shelter on 26 June, CEO Matthew Smith presented the donation and met with the charity's owners and the animals in their care. While he was there, CEO Matthew Smith reflected on EC Markets' long-standing commitment to supporting the communities in which it operates: “We absolutely love this island, we love Pet Haven. It’s the third year we are donating to Pet Haven. It’s part of our stated purpose to look after the countries that we operate from.”

Read More
View More

General

The trader’s playbook: How Liverpool FC’s strategy can boost your market success
General

Every football fan knows the excitement before a big match, where the countdown begins and every detail matters. For the football pros, it’s about training, strategy and focus. The Liverpool FC team doesn’t just show up on game day, instead, they prepare, they analyze, and they rehearse every move to maximize their chances of victory.

Read More
View More

Latest News

Weekly Recap

Aug 17, 2026

US Inflation Cools as Geopolitical Risks Rise | Weekly Recap: 10-14 August 2026

Softer US inflation supported markets during the week, but weaker retail sales and renewed geopolitical tensions complicated the outlook for interest rates, oil and global equities.

See More
Technical Analysis

Aug 12, 2026

How to Read Bollinger Bands: Mean Reversion and Market Volatility

Prices in financial markets rarely move in a straight line. Instead, they move through periods of trending, consolidation and changing volatility. They can also move significantly away from their recent average before returning towards it, a tendency known as mean reversion.

See More
Fundamental Analysis

Aug 11, 2026

Why Rising Bond Yields Can Hurt Stocks: What Investors Are Really Pricing

Equity investors often focus on earnings, revenue growth, profit margins and company valuations. However, movements in government bond markets can also have a significant influence on how much investors are willing to pay for those earnings.

See More
Weekly Recap

Aug 10, 2026

Soft US Labour Market Data Supports Global Markets | Weekly Market Recap: 3-7 August 2026

Softer-than-expected US labour market data and another strong week of corporate earnings helped global equity markets rally to record highs during the first week of August. July's surprise decline in nonfarm payrolls prompted investors to reduce expectations of further Federal Reserve tightening, while resilient technology earnings continued supporting risk appetite.

See More
Technical Analysis

Aug 05, 2026

Nasdaq 100 vs Bitcoin: Are They Moving Together?

Bitcoin and the Nasdaq 100 are often grouped together as risk assets because both are influenced by investor sentiment, interest rates and market liquidity. However, their relationship is far from constant. Comparing their relative performance can help traders understand shifts in market leadership, risk appetite and broader macroeconomic conditions.

See More
Fundamental Analysis

Aug 04, 2026

Understanding the Copper-Gold Ratio: What Markets Are Really Pricing

The copper-gold ratio is one of the most closely watched intermarket indicators because it compares two commodities that often reflect very different views of the global economy. While copper is closely linked to industrial activity and economic growth, gold is typically associated with defensive investing and preserving wealth. Understanding how these two metals perform relative to one another can provide valuable insight into investor sentiment, changing macroeconomic conditions and broader market expectations.

See More
Weekly Recap

Aug 03, 2026

Resilient Economic Data Supports Markets Despite Fed Caution | Weekly Recap: 27-31 July 2026

Resilient economic data and another strong week of corporate earnings helped support global markets, even as central banks continued signalling caution on inflation. With the Federal Reserve holding interest rates steady and policymakers reinforcing a data-dependent approach, investors remained focused on whether economic strength can continue without reigniting price pressures. The result was another week of selective positioning, with investors continuing to favour resilient earnings, stronger fundamentals and quality businesses.

See More
Technical Analysis

Jul 29, 2026

Why Bank Stocks Matter for the US 500 Index

The financial sector plays an important role in the US economy, making bank stocks a key area of focus for many traders and investors. Because major banks are closely linked to lending activity, corporate investment and consumer spending, their share prices can often reflect changing expectations about economic growth. By comparing the performance of leading US banks with the US 500, traders can gain additional insight into sector leadership, market sentiment and the strength of the broader equity market.

See More

Don’t just read the market.
Trade it!

Start Trading

Trading is risky. Proceed wisely.