On September 24th, 2025, join Macrobond and Indicio to see 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 24th, 2025, join Macrobond and Indicio to see 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, join Macrobond and Quant Insight 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!
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.
Macro Trends: France faces rising political and economic risks. This edition of Macro Trends explores how government instability, budget deficits, and weak growth are driving up bond yields and weighing on equities.
Macro Trends: Shifting US Macro Dominance — Insights from Quant insight.
This week’s Macro Trends reviews the UK’s mixed performance: strong GDP growth and the FTSE 100’s best YTD run of the century, but weaker employment, higher inflation, and steeper Gilt yields. The BoE’s recent cut points to caution on future moves, though steady inflation may support current rates. Could the FTSE’s low P/E ratio signal a value opportunity for investors?
This edition of Macro Trends explores the global EV market's evolving landscape. China and the EU lead in EV adoption due to favorable policies, contrasting with the US despite its higher income. China's EV sales significantly surpass the US, with rapid BEV and PHEV growth. Trade policies are redirecting EV imports, benefiting Mexico and US domestic production. This influences automaker stock performance, with US companies gaining. We also examine Tesla's sales decline amid rising competition and the impact of increasing EV battery costs from raw material fluctuations.
This week’s Macro Trends dives into the latest U.S. bilateral trade data (UK having the only even trade balance) considering the impact of recent tariff announcements and the significant slow down in key U.S. ports.
This week’s Macro Trends breaks down the Dollar’s steep YTD decline. It's worse since the 1980s driven by tariffs, debt fears, and rate cut expectations, with new support from policy shifts like the GENIUS Act and Section 899 changes.
Rising Middle East tensions are sending ripples through global markets. This edition of Macro Trends examines shifts in shipping, oil, and equities—backed by real-time data and clear, objective analysis
Trump’s return to the White House has been unconventional—and markets are responding. This chart pack compares his early days to previous administrations, highlighting market dynamics through data-driven analysis, not political narrative.
This chart pack explores how central bank policy—especially the ECB's dovish shift—is shaping market expectations across interest rates, inflation, currency strength, and equity returns. Dive into timely data and sharp analysis on rate cuts, inflation dispersion across the Euro Area, EUR/USD fair value, and how markets are reacting.
This edition of Macro Moves tracks currency momentum amid a weaker dollar, shifts in the 10s30s yield curve, and key equity signals. We also uncover seasonality in stocks, U.S. real estate trends, and Bitcoin’s changing correlations with traditional assets. Plus, daily insights on Palantir, Japan’s policy curves, and U.S. trade flows.
This edition of Macro Moves uncovers the data breakthroughs and blind spots driving today’s markets — from gold’s resurgence to crypto’s volatility. We examine shifting energy demand, labor unrest, and climate anomalies through a rich mix of dashboards and alternative indicators. With structured data and sharp design, we decode trends in credit, equities, and global trade. Dive in for clear, actionable insights across an increasingly complex macro landscape.
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.