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A tale of two dips: Managing uncertainty on two fronts
From silver rallies to crypto swings, retail sentiment and market volatility are colliding, prompting brokers to rethink risk management

Beyond the Bubble: AI as Disruptor
Like the dotcom era before it, AI is unleashing deep, unpredictable disruption across industries, transforming workflows and sectoral value.

Metals Madness: Why LP partnerships matter when volatility spikes
Volatile precious metals and FX markets demand smarter risk management. Here’s why a dynamic strategy and the right liquidity partner are critical for brokers.

Meme Stocks & Market Makers: The GameStop Effect
Five years after the GameStop saga, what did markets learn? Retail traders, social media and herd behaviour are reshaping investing.

Is the real silver squeeze resources or refining?
As silver demand from green energy and AI grows, the real bottleneck may be refining capacity, not raw resources.

Greenland & Europe’s Trade Bazooka: Disarmed by Reality?
If the US places tariffs on Europe over Greenland tensions, lawmakers will be faced with tough decisions. Here's why it could be so complex.

Diversification in 2026: The Role of Emerging Markets
Emerging market assets performed strongly in 2025. But how do EMs fit into diversification strategies for 2026?

Don’t Put All Your Golden Eggs in One Basket: The Case for Diversification in 2026
2025 was a paradoxical year for investors, defined by a flight to safe-haven assets like gold and a buoyant equity market.

AI in 2026: Overcoming scepticism, embracing strategy
Will businesses leverage AI to optimise efficiency gains in 2026? The answer may depend on both high-level strategy and skills development.
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