Global markets remained highly volatile in February, though sentiment improved slightly as central banks signalled increased willingness to support growth.
Open ReviewGlobal markets suffered a sharp sell-off in January as fears over China's growth outlook, collapsing oil prices and tightening financial conditions triggered broad risk aversion.
Open ReviewGlobal markets ended on a mixed but generally positive note as the European Central Bank expanded stimulus while the U.S. Federal Reserve delivered its first rate hike in nearly a decade
Open ReviewGlobal markets were broadly positive in November as expectations for further European Central Bank stimulus and improved U.S. economic data supported risk assets.
Open ReviewGlobal markets rebounded strongly in October as expectations for additional monetary stimulus in Europe and China restored investor confidence after the turbulence of the previous two months.
Open Review
