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Dec 26, 2025
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Global financial markets are experiencing a phase of consolidation as 2025 draws to a close, marked by lower trading volumes and reduced volatility. This balanced performance reflects investors’ tendency to lock in partial profits following recent rallies, while refraining from opening new positions ahead of clearer economic indicators expected in early 2026. |
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The relatively stable monetary policy stance among major central banks, combined with the absence of major economic surprises, has reinforced this cautious approach. At the same time, risk appetite remains restrained amid lingering uncertainty surrounding global growth and inflation prospects for the coming year.