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March: Macro Moves Live - with featured guest Ignacio Ramirez Moreno. Join us for our monthly webinar series that brings our latest releases to life. Each session breaks down the most important macroeconomic signals shaping markets today and shows how leading economists, strategists, and portfolio teams turn those signals into clear, actionable narratives using Macrobond.
Join NewEdge Wealth Management and Macrobond for Macro Outlook: Q2 for Macro and Markets on April 8th, 2026. Explore a live discussion covering the impact of the Iran War on developed market consumers and implications for asset allocation and central banks.
Our economist examines Europe’s slowing but persistent inflationary pressures.

Join NewEdge Wealth Management and Macrobond for Macro Outlook: Q2 for Macro and Markets on April 8th, 2026. Explore a live discussion covering the impact of the Iran War on developed market consumers and implications for asset allocation and central banks.
March: Macro Moves Live - with featured guest Ignacio Ramirez Moreno. Join us for our monthly webinar series that brings our latest releases to life. Each session breaks down the most important macroeconomic signals shaping markets today and shows how leading economists, strategists, and portfolio teams turn those signals into clear, actionable narratives using Macrobond.

Macro Moves Live is a monthly webinar series that brings our latest releases to life. Each session breaks down the most important macroeconomic signals shaping markets today and shows how leading economists, strategists, and portfolio teams turn those signals into clear, actionable narratives using Macrobond.

Join Macrobond, Numerator, and Kraft Heinz for MacroOutlook: The State of the U.S. Consumer on December 11, 2025. Explore how inflation, interest rates, tariffs, and labor trends are shaping U.S. consumer behavior and the 2026 economic outlook.

Join us in conversation with Saurabh Katiyar, CFA, Executive Director and Head of Equity Investing Research, EMEA at MSCI, on November 6, 2025, for a data-driven discussion on diversification, regional dynamics, and long-term opportunities in European markets.

On September 24th, 2025, Indicio joined Macrobond to discuss how real-time forecasting and mixed-frequency data give investors and economists the edge to anticipate volatility, manage USD risks, and sharpen strategies.

On September 3rd 2025, Quant insight joined Macrobond for a high-impact session decoding what’s really driving markets right now across FX, rates, and equities; with powerful analytics you won’t get anywhere else!

Discover how Antiloop AB, a Stockholm-based hedge fund, transformed its research workflow with Macrobond. By replacing manual Excel processes with instant access to global macroeconomic data, Founder Anna Svahn unlocked faster analysis, custom index building, and creative freedom in commodity investing.
Munich Re’s research team streamlined research workflows and turned complex data into insights quickly by integrating sources and automating chart updates with Macrobond.
A faster path from question to insight.
Reimagining research for speed, scale, and collaboration.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.
Fresh from the markets - our latest batch of financial insights released weekly.

Fresh from the markets - our latest batch of financial insights released weekly.

Fresh from the markets - our latest batch of financial insights released weekly.

Fresh from the markets - our latest batch of financial insights released weekly.

Fresh from the markets - our latest batch of financial insights released weekly.

Fresh from the markets - our latest batch of financial insights released weekly.

Fresh from the markets - our latest batch of financial insights released weekly.
Macro Trends explores how rising geopolitical tensions and energy market disruptions are reshaping inflation risks, policy expectations and cross-asset dynamics, helping investors navigate an increasingly volatile global macro environment.
Macro Trends explores how shifting premia, fiscal uncertainty and policy divergence are reshaping rates, FX and sovereign risk, helping investors navigate a repricing global cycle.
This edition of Macro Trends explores rising metals volatility, with gold and silver absorbing shocks, industrial signals fragmented and inflation transmission diverging across regions.
This edition of Macro Trends explores Venezuelan crude’s potential return to U.S. markets, and how refinery limits and shifting trade flows may displace heavy grades rather than expand supply.
This edition of Macro Trends explores how financial conditions, growth, inflation and yield curve signals relate to forward equity returns and positioning across styles.
AI equities face a turning point as leadership narrows to hyperscalers and chipmakers with strong earnings, while rich valuations and uneven fundamentals reveal gaps between pricing and performance.
Markets have priced out a lasting easing cycle after the Fed’s hawkish cut, keeping policy near neutral as sticky inflation, high real yields and AI-led capex shape a carry-driven credit outlook.
With U.S. data dark during the shutdown, markets brace for a Fed cut as monetary easing collides with fiscal stimulus, reshaping yield curves and expectations for the policy path ahead.
Discover why gold has outperformed traditional assets in 2025. Macro Trends unpacks the forces behind its surge and shifting global investment dynamics.
This edition of Macro Trends explores the outlook for the Mexican Peso and Brazilian Real against the backdrop of a weakening US dollar, Fed easing, and shifting local dynamics.
In this edition of Macro Trends: France faces rising political and economic risks as government instability, deficits and weak growth push bond yields higher and weigh on equities.
Macro Trends: Shifting US Macro Dominance — Insights from Quant insight.
This week’s Macro Trends reviews the UK’s mixed backdrop: strong GDP and FTSE gains, but weaker jobs, higher inflation and steeper gilt yields, with the BoE signalling caution.
This edition of Macro Trends examines the global EV market, from China and EU leadership to shifting trade flows, Tesla’s sales pressure and rising battery costs reshaping automaker performance.
This week’s Macro Trends explores U.S. bilateral trade data, tariff impacts and the sharp slowdown at key U.S. ports, with the UK the only balanced trade partner.
This week’s Macro Trends breaks down the dollar’s steep YTD decline, its worst since the 1980s, driven by tariffs, debt fears and rate-cut bets, with support from GENIUS Act and Section 899 changes.

Rising Middle East tensions are rippling through global markets. This edition of Macro Trends tracks shifts in shipping, oil and equities with real-time data and clear analysis.

Trump’s return to the White House has been unconventional, and markets are reacting. This chart pack compares his early days with past administrations through data-driven analysis, not politics.

This chart pack explores how the ECB’s dovish shift is shaping expectations across rates, inflation, EUR/USD and equities, with timely data on cuts, dispersion and market reaction.
This edition of Macro Moves explores how the S&P 500 really moves across days, months, and decades. From calendar effects and weekday patterns to drawdowns, market regimes, and the impact of missing the market’s best days, it reveals the data behind equity market behavior and the signals shaping long-term returns.
This edition of Macro Moves examines the US dollar’s decline and Europe’s innovation push, cutting through misleading metrics to reveal deeper volatility, structural gaps, and true macro signals.
This edition of Macro Moves explores muted crude oil price moves, analyzing supply shifts, spare capacity and futures curves to show how diversification and pre-priced risk are reshaping expectations into 2026.
This special edition chart pack offers a clear visual snapshot of global markets in 2025, highlighting key moves across assets, sectors, commodities, equities, the Magnificent Seven and the US dollar.
A fast, data-driven look at key market shifts shaping late 2025, covering New York’s housing change, Warren Buffett’s transition, Fed cut expectations, Bitcoin’s pullback and the Santa Claus rally.
November 2025’s Macro Moves explores rare earth controls, a U.S. shutdown and market shocks, from China’s minerals grip to Bitcoin’s crash, gold volatility and Argentina’s reforms.
This edition of Macro Moves explores shifting global markets, from sovereign ratings and AI-led equities to institutional crypto, Macao’s tourism recovery and rising frontier market interest.
This edition of Macro Moves tracks currency momentum, yield curve shifts and equity signals, plus seasonality, U.S. real estate trends, Bitcoin correlations and daily insights on policy and trade.
This edition of Macro Moves explores gold’s resurgence, crypto volatility, shifting energy demand and climate risks, decoding trends in credit, equities and global trade with clear, actionable insight.

From electric vehicle inflation in Norway to record highs in global markets, this edition of Macro Moves highlight show data is adapting to a rapidly shifting world.

Exploring current economic or market topics through a unique lens, using interesting or underutilized data from the platform.