Trump Asia Trip: Seoul Worried, China Calm – Impact & Analysis

Asian Markets on Edge: Navigating Geopolitical Risk and the Trump Factor Global markets are reeling from escalating tensions in the Middle East, with volatility surging across asset classes. However, Asia finds itself uniquely exposed, largely due to its position at the forefront of the global trading day. As events unfold, investors in key financial hubs … Read more

KOSPI 6000: Article 149 & Korean Market Risks

KOSPI Nears 6,000 Amid Rising Debt and Shifting Investor Sentiment South Korea’s benchmark KOSPI index is hovering just below the 6,000 mark, fueling both optimism and anxiety among investors. A surge in margin trading, coupled with concerns about a potential market correction – sometimes referred to as ‘Article 149’s down bet’ – is creating a … Read more