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Executive Summary

Executive Summary

Markets are stabilizing but remain highly sensitive to geopolitical headlines, particularly around the US–Iran situation and Strait of Hormuz disruptions.

The tone has shifted slightly toward short-term relief, but not enough to confirm a durable risk-on trend.

Core View:
This is still a fragile stabilization phase, not a true recovery.

Macro is defined by:

  • Persistent geopolitical risk premium
  • Elevated energy prices feeding inflation
  • Controlled but cautious institutional positioning

➡️ الأسواق بتتماسك… لكن بدون ثقة حقيقية