India Pledges Fiscal Support to Counter Oil Crisis Bite
Indian officials coordinate fiscal and monetary response to oil price shock, aiming to curb inflation, support the rupee, and prevent a sharp…
Indian officials coordinate fiscal and monetary response to oil price shock, aiming to curb inflation, support the rupee, and prevent a sharp…
Kenya's budget strain warning threatens to undermine the shilling and bonds as investors brace for spending cuts and higher fiscal risk.
A potential US-Iran deal that would revive Iranian oil supply sent crude prices tumbling and lifted emerging-market stocks, bonds, and currencies as…
Sri Lanka's rupee is expected to rebound from recent declines as falling oil prices curb import costs, with BMI projecting a recovery…
The Indian rupee advanced on oil price relief and an RBI valuation comment, easing dollar pressure and supporting emerging-market forex sentiment.
Indian state-run bank shares plummet as escalating Iran war tensions push domestic bond yields to their highest level in two years, raising…
Indian bond investors leverage surging interest rate swaps to enhance returns, fueling demand for derivatives and reshaping fixed-income strategies.
Resurgent political risk across emerging markets caps equity rallies and pressures currencies as investors reassess exposure to fragile recoveries.
Indonesia's push for domestic commodity trading threatens global giants like Glencore, reshapes nickel and palm oil markets, and boosts Indonesian ETFs such…
Balyasny Asset Management is hiring for a Dubai-based pod to trade Latin America stocks, highlighting increased hedge fund interest in emerging markets…
Mexican GDP contracted less than expected in Q1 and inflation slowed, boosting bets on forthcoming Banxico rate cuts and lifting Mexican assets…
A simultaneous selloff in the Turkish lira and equities during a London investor roadshow derailed Turkey’s efforts to attract capital, reflecting enduring…