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March 2026 Market Review: Geopolitical Shock, Energy Surge, and the Repricing of Risk
March 2026 saw a sharp repricing of global risk as escalating conflict in the Middle East triggered a major energy shock, reignited inflation concerns, and weighed heavily on equities, bonds, and business sentiment.

Tanooj Gopeechand
2 minutes ago4 min read


The Complacency Paradox: Rising Risks, Falling Spreads
Geopolitical tensions, resurgent inflation, tighter energy markets and fragile supply chains are all pointing to higher risk, yet credit spreads remain unusually calm. This divergence highlights a dangerous complacency in markets, where downside risks may still be significantly underpriced.

Girish Appadu
7 days ago3 min read
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