In this power-packed episode, we delve deep into the intricate web of global finance. We kick things off by dissecting the Bank of Japan's actions and their far-reaching impact on price action, while exploring the intricate correlations to the broader market.
Next, we shift our focus to the United States, where we dissect the US Election, House Speaker decisions, and budget spending. Our financial experts provide invaluable insights into the economic ripples caused by these critical political events. Commodities take center stage as we uncover the dynamics of the gold and oil markets. From price action to market trends, we unravel the stories behind these essential resources.
Our podcast takes you on the geopolitical hotspots, including Israel-Palestine and Ukraine-Russia tensions. We discuss the financial consequences of these complex geopolitical situations and their impact on worldwide markets. Tune in for a comprehensive and enlightening episode as we connect the dots and provide a deeper understanding of the global financial landscape.
Episode was recorded on 6th Oct 2023
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