Global Equities
Major US, European and Asia-Pacific market references provide a high-level indication of global risk appetite, regional divergence and broader investor positioning.
Arqom Global Markets
Structured monitoring of major equity markets and selected interest-rate, foreign-exchange, energy and metals references. Third-party market data is presented as contextual information and remains separate from Arqom analytical publications and transaction-specific work.
Executive snapshot
Major equity-market references are shown alongside selected energy, metals, currency and rates references to provide a concise view of global market direction.
Market monitoring framework
Arqom uses market data as contextual input rather than as a substitute for analysis. Monitoring is structured across four connected lenses relevant to international transactions and commercial decision-making.
Major US, European and Asia-Pacific market references provide a high-level indication of global risk appetite, regional divergence and broader investor positioning.
Currency pairs, dollar conditions and interest-rate references are monitored for their relevance to funding, cross-border settlement, pricing and transaction economics.
Energy and metals references provide additional context for commodity markets, physical trade, inflation sensitivity and sectors exposed to global supply and demand conditions.
Scheduled economic releases and major policy events are considered alongside market breadth and price action to identify periods of elevated uncertainty or changing conditions.
Market monitoring on this page is descriptive and contextual. Arqom Market Intelligence provides the separate analytical layer, including source assessment, interpretation, scenarios and transaction-relevant implications where appropriate.
Market breadth & macro calendar
The heatmap provides a sector-level view of large US equities. The calendar highlights scheduled macroeconomic releases and policy events across major economies.
Arqom Market Intelligence
Arqom separates third-party market data from its own evidence-led analytical publications, source assessments and transaction implications.
Policy rates, sovereign yields, funding conditions and foreign-exchange developments are considered within Arqom Market Intelligence where they have decision relevance.
Energy and commodity developments are assessed alongside freight, supply, pricing, trade finance and execution conditions rather than as isolated price movements.
Sanctions, regulatory developments and geopolitical events are addressed through sourced analysis and clearly separated from raw market-data presentation.