Elections, fiscal shifts, and global events shaped markets in 2024. Ruby and Meeku break down policy impacts, investment strategies, and what to watch for in the next six months. Get the facts, figures, and front-line stories behind the headlines.
Episodes (5)
A lively breakdown of Q1 2024’s biggest market moves, shifting central bank policies, and what investors can expect as inflation and rates fall. Ruby and Meeku dig into the data, highlight risks and opportunities, and share key examples from tech stocks to global bonds.
This episode unpacks dramatic political changes in the UK, France, and the US, and explores how these shifts impact global markets and investment strategies. Ruby and Meeku break down the latest data-driven approaches and portfolio moves in a changing world.
This episode unpacks the first half of 2025’s dramatic economic and market shifts, from sweeping US tariffs and volatile bond markets to geopolitical flashpoints and gold’s record high. Ruby and Meeku dive into the numbers, key events, and strategies that shaped global investing.
Explore how major 2024 elections, shifting fiscal policies, and global risks shaped markets and economies. Ruby and Meeku break down the latest UK and US developments, inflation trends, and key investment strategies for the months ahead.




