Advisors’ Bulletin

Get expert insights into investments and the world market.

market review may 2026

Market Review – May 2026

Executive Summary  May 2026 was the month the Iran war’s grip on commodities finally began to loosen — and markets responded with a measured but broad-based advance. Brent crude fell from above $116 at the start of the month to close below $95 on May 29, delivering the largest single-month oil price decline since the […]

Read More

Market Review – April 2026

Executive Summary  April 2026 was a study in markets looking through geopolitical noise to focus on fundamentals. Despite the Strait of Hormuz remaining severely disrupted, Brent crude pushing back above $110 per barrel, and ceasefire negotiations breaking down repeatedly, global equities staged one of the most powerful risk-on rallies in years. The S&P 500 and Nasdaq closed […]

Read More
march 2026

Market Review – March 2026

Executive Summary  March 2026 saw the intensification of the U.S./Israel-Iran military conflict, that began in late February with Operation Epic Fury. The Strait of Hormuz was effectively closed following Iranian defensive operations, producing the most severe oil price shock since the 2022 Russia Ukraine invasion. While markets had rotated defensively in February, March saw broader sector pressure […]

Read More
Xanara Advisors Bulletin Feb 26

Market Review – February 2026

Executive Summary  February 2026 was defined by geopolitical tension between the U.S. and Iran. Markets shifted to a defensive posture as capital moved from U.S. technology stocks toward international markets and traditional industries. This transition was triggered by the “AI Scare Trade,” where investors sold software and cybersecurity equities on fears that Anthropic’s Claude and similar tools […]

Read More
JAN 2026

Market Review – January 2026

Executive Summary January 2026 saw a rotation in global leadership as U.S. large caps trailed both international counterparts and small caps. Fixed income markets grappled with the impact of expansionary policy measures, such as the “One Big Beautiful Bill Act” and heightened Japanese fiscal spending, which pushed yields higher. While the U.S. macro environment held […]

Read More
Market summary - December 2025

Market Summary – December 2025

Choppy Year-End Trading Amid Macro Uncertainty December 2025 saw global financial markets conclude the year with mixed butresilient performance. U.S. equity benchmarks ended largely flat after early gainsfaded into year-end holiday trading, while international markets outperformed theirU.S. peers for the first time in several years. Central bank policy shifts, particularly inthe U.S. and UK, remained […]

Read More
November

Monthly Market Wrap – November 2025

Resilience Amid Shifting Leadership November 2025 was a month characterized by resilience and a notable shift in market leadership, ultimately extending the overall equity market gains for the year. After a brief wobble early in the month, the market regained momentum, benefiting from supportive economic fundamentals, fading recession fears, and the expectation of continued monetary […]

Read More

Stay ahead of the curve.

Subscribe to Xanara’s Advisors’ Bulletin and get market insights straight into your inbox.