International Markets

Learn and watch up to date news coverage of international stock markets including the European markets, Asia market and emerging markets.

This week
Steve Hochman on Delayed Energy Shocks & Smarter Supply Chains
KG: 'We're Not Done' with Crude Oil Volatility, Watch Helium Price Action
Stock Futures Flat as S&P 500 Nears Record; Oil Slides on Iran Deal Hopes
U.S. Unable to Offset Global Helium Shortfall After Russia Imposes Export Controls
Watch Who's at U.S.-Iran Negotiating Table, What BAC Earnings Mean for Big Banks
Navigating U.S.-Iran Volatility & How Options Influenced Recent Moves
Tie Lasater on Inflation Floors, Energy Risk, and Private Credit Stress
From U.S. Congress to China Exports: U.S.-Iran Pressures Show New Warning Signs
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Conference Board CEO Warns of Rising Stagflation & Slower Growth
Futures Higher as Markets Look Past Iran Tensions, Focus on Earnings
KG Gauges Crude Oil 'Demand Destruction' & Agriculture Impacts
Explaining China's Unsung Role in U.S.-Iran Talks & JPM, Big Bank Earnings Takeaways
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Strait of Hormuz Constraints v. Strong Earnings Sets Confusing Tone
Long-Term Crude Oil Disruptions to Note if 'War Ends Tomorrow'
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Michael Shaoul on Iran Risk, Oil Prices, and an Energy‑Led Market Shift
What Strait of Hormuz Blockade Means for Equities & Crude Oil
From Energy to Semis: Divergences Build as Earnings Season Accelerates
Naval Blockade Introduces a New Dynamic for the Market
U.S. Futures Slide as President Trump Orders Hormuz Blockade
Last week
New Resilient Rally Builds as Volatility Fades
Tim Pagliara on Long-Term Strait of Hormuz Disruptions & Unsung Tech Stocks
Dale Smothers on Finding New Value in Stock 'Planting Season'
Consumer Sentiment Sours Economic Outlook as Strait of Hormuz Uncertainty Lingers
U.S. Futures Little Changed as Traders Assess Two-Week Ceasefire
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U.S.-Iran War's Inflation Pressure & Skepticism on Job Optimism
Liz Ann Live | Liz Ann Sonders & Joe Mazzola | 4-6-26
Closing Bell: Stocks Extend Bullish Momentum on Hopes of a Sustained Ceasefire
Thursday's Final Takeaways: Pre-War PCE & Market Resilience
LNG Bullish Options Trade Amid Strait of Hormuz Uncertainty, ELV Medicare Rate Lift
Markets Take a Breather Ahead of Iran Ceasefire Meeting
Art Hogan: Focus on Fundamentals, Not the Headlines
KG: 'Don't be Surprised' if Crude Retests $120, Explaining Market 'Holding Pattern'
Closing Bell Ceasefire Shock Sends Stocks Higher, Oil Sharply Lower
Wednesday's Final Takeaways: Global Tech Movers & Earnings Season Looms
David Busch on Why the Economy Is Holding Up Despite Rising Global Risks
Ben Emons on Middle East Risk & the Fragility of Global Oil Markets
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Fed in the Middle: New Dual Mandate Challenges Add Rate Uncertainty
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Mike Townsend on Trump's Midterm Pressures from Iran & Energy Disruption Timeline
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Frances Newton on Earnings Anxiety & Fragile Market Momentum
'Short Covering Rally' Takes Over Trading & Gearing Up for Earnings Season
Massive Swings in Stock Index & Energy Futures on Iran Ceasefire News
Markets Rise After Iran Ceasefire Announcement
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SPX to 8,100? Dow Jones to 100,000 by 2030? James Demmert Offers Index Bull Cases
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Ellerbroek: MSFT 'Cheaper Than' XOM, Other Stocks to Watch in Relief Rally
U.S.-Iran Ceasefire: Market Pressure Evaporates, Crude Oil Options Price Out Risk
Seana Smith 'Cautiously Optimistic' on U.S.-Iran Ceasefire & MSFT Bull Case
Closing Bell: Markets Retreat as Trump-Iran Ultimatum Drags Indices Lower
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ITRS CEO Ryan Terpstra on AI, Outages, and Infrastructure Risk
GOOGL & MSFT 'Hidden Assets' & Markets Navigating 'Knife Edge'
Last month
Closing Bell: Tech Ignites on Peace Overtures as SPX Battles Key Resistance
'Bull is Sleeping, Not Dead:' Economic 'Coiled Spring' to Relaunch Bull Run
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Europe's Energy 'Supply Shock' to Hit U.S., China Shows Resiliency
Markets Jump on Hopes U.S. Involvement in Iran May Be Ending
Midterm Volatility & Middle East Tensions: Patrick Fruzzetti Points to Vulnerable Trades
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How Investors Repricing Risk Affects Bonds, Energy, and Global Diversification
Uncertainty 'Unwind:' Ways SPX & Crude Oil Will Move if U.S., Iran Conflict Ends
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Behren: Merger Arbitrage Helping Lift 2026 M&A Activity in Volatility
U.S. Readying Move Out of Middle East? Strait of Hormuz Future in Question
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Pete Najarian on Navigating VIX, Energy Stock Surge & Crypto Volatility
‘War Portfolio’ vs ‘Rebound Portfolio’
U.S. vs International Stocks: Where are Opportunities?
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Sorting Through Bullish & Bearish Market Sectors
Why China is Shielded from Energy Crisis, Shows Market Opportunities
Markets & FOMC Focusing on 'Negative Consequences' in Oil's Inflation Shock
KG: Watch NVDA & Chipmaker Technicals, Aluminum Supply Pressures & SPX
Mark Gibbens: Bullish on NVDA, GOOGL, PLTR on Short War Expectations
Closing Bell: Markets Give Back Gains as Geopolitical Uncertainty Weighs on Yields
Crude Oil's $100 'Psychological Level' & Commodity 'Domino Effect'
The Big 3: TRV, ARM, ROST
War Likely to ‘Extend Much Further’, Why Metals are Falling
KG: Iran Responds to U.S. 15-Point Plan & Commodity Impacts on AI Chips, Materials
Closing Bell: Stocks Rally as Ceasefire Expectations Lift Sentiment
Stock Market 'Kryptonite' in U.S.-Iran War & DELL's Unsung Bull Case
Saccaro: Market in ‘Holding Pattern’, U.S. Can Avoid Inflation Resurgence
'Limbo' in Iran, Airports & FOMC: Path to Negotiations & Headwinds Ahead
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Sekera: Markets Undervalued by 10%, Likes MOS
KG: Brace for Crude Oil Technical Bounce & Headlines to Move Wall Street
Jamner: Geopolitics Rattle Markets, but History Favors SPX Buyers
Why Investors Should Plan Long-Term Instead of Reacting Short-Term
This year
NVDA Earnings Preview: Jensen Huang’s Commentary, China, Next-Gen Chips
Tariffs & Treasuries: Upcoming Catalysts Impacting Fixed Income
$60 - $100: Where Will Crude Oil Prices Go Next?
Midstream Energy Opportunities, Why Mexico & Canada Win on Tariff Ruling
Iran Unlikely to Close Strait of Hormuz, World is Well Oversupplied on Oil
Closing Bell: Markets Fall on Geopolitical Worries
FOMC Minutes 'Won't Move the Needle,' Japan Center of Global Stock Buzz
Breaking Down Geopolitical ‘Anvils’ Hanging Over a Market Rally
Glickman: Iran Closing Strait of Hormuz Could see Oil Spike to $150/Barrel
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‘Further Shakeout to Go,’ Watch the Dollar if Diversifying Internationally
Parkhill: SpaceX Story ‘Has Merit’, Long International Equities & Short Global Bonds & Commodities
Reid on Fixed Income: Sell Duration Later This Spring
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The TSMC Factor: Lessons to Learn from International Tech Giants
Global Market Opportunities: ‘Eye-Popping’ South Korea Markets, Japan ‘Abenomics’
Cyclical Sectors Heat Up: Small-Caps and Contrarian Opportunities in Japan
Balancing Nonfarm Payroll Strengths & Weaknesses, Japan's Growth Headwinds
Bitcoin's 'New Narrative' & Big Picture on Japan Snap Election Impact
Japan Rally & Cautious Futures Set Tone for Data-Filled Trading Week
Emerging Market Opportunities in India & Mexico
Global Impact of Japan's Snap Election & Timeline of Warsh Confirmation Hearing
Dollar in ‘Long-Term Depreciation Trend’, What That Means for Markets
Davos 2026 Takeaways: CEO Concerns Around the World, ‘Constraint’
Deal Activity Booming in 2026: Foreign Buyers, Private Takeovers, Mega-Mergers
European Equity Outlook & the Case for London Fintech
Global Big Picture: Japan's Bond Impact & Significance of India, EU Trade Deal
Gold's 2026 Trends: Portfolio Positioning Amid Sharp Rally & Global Volatility
‘Only Real Weakness’ in U.S. Economy is Labor Market Data
Avoiding 'Monolithic' Investments & Measuring International ETF Inflows
CFOs Not Seeing AI Capex Return, Opportunities in Asian Emerging Markets
Japan’s Bond Market Woes Have ‘Serious Risks’ for U.S. Markets
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Fed ‘On Hold’ For First Few 2026 Meetings, Opportunities Abroad Next Year
Tuesday's Final Takeaways: International Outperformance & FOMC Minutes
James Demmert's 8,100 SPX Target & Trends to Watch in 2026
KG: Signs of 'Thawing' Housing Market & Ukraine, Russia 'Stalemate'
Russia/Ukraine Talks & Production Disruptions Fuel Crude Oil Bounce
Markets Brace for Geopolitical Shifts Ahead
S&P 500 at New High Entering Christmas
Inflation 'Stuck' Into 2026 & Case for Incoming International Outperformance
WTI Crude Moves 2% on Geopolitical Risk
Japan Hikes & U.S. Cuts: Weighing Interest Rate Outlooks Ahead
Core PCE Steadies, Existing Home Sales Higher, Japan Raises Rate to Historic Levels
China's Stock Market Amid Economic Contrasts: BABA and High-Tech Investments Lead Growth
KG on Significance of Oil Tanker Blockade, Medline's IPO & MU Earnings
Blockade on Venezuela Oil Tankers & Mortgage Apps Moving Markets
China's 'Unbalanced' Economy & 'Further Weakness' in U.S. Labor
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International Outperformance & Yen Carry Trade: Global 2026 Movers to Watch
2026 Oil Will See ‘Good Demand, Better Supply’, Price to $50 Before $70
Global Central Banks Turning Hawkish & Markets Holding A.I. CapEx Story
KG: ORCL Pullback 'Healthy' with Rotation, SPX Retreat & Silver Soars
Biggest Questions Surrounding the Chinese Economy
Pelosky: Investors Should Focus on Countries Creating Electricity & Storage
Friday's Final Takeaways: Retailer Stocks & China Tech Soars
U.S. Risk & Japan Stock Moves: Yen Carry Trade Recaptures Attention
Tuesday's Final Takeaways: ChatGPT's 'Code Red' & Japan's Elevated Bond Yields
November Selling Sets Floor for Stronger December, Japan's Bond Opportunity
Chinese Real Estate Showing Cracks, ‘Decent Price Action’ in Mag 7 Today
Monday Final Takeaways: Bitcoin Selling Resumes, International Stocks Slide
Arora: Yen Carry Trade Holds 10%-20% A.I. Correction Risk, Silver to Hit $70
Crypto's Slide, Weakness Abroad & QT Ending Move Markets Monday
BABA's Strong A.I. Pivot from Ecommerce Faces Technical & Macro Challenges

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