Citi
July 13, 2026
G10 & EM Week Ahead Markets Enter The Knockout Stage
Weekly UpdateCommoditiesEquitiesFXEnergyFinancials
This report provides a weekly outlook on global markets, highlighting critical upcoming economic data, central bank meetings, and earnings reports amidst heightened geopolitical risk in the Middle East.
Key Takeaways
- 1.Market volatility is expected to rise due to a confluence of geopolitical tensions in the Middle East, US CPI inflation data, and the start of the corporate earnings season.
- 2.Middle East instability following the end of the ceasefire is a primary risk factor, threatening oil prices and global risk asset sentiment.
Table of Contents
- Best of Wire
- Highlights by Date
- Highlights by Currency
- Research links
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Authors
Preston Pagli
Securities
S&P 500
Themes
AI demand sustainabilityGeopolitical risk in Middle EastStagflation concerns
Regions
GlobalMiddle EastAsia PacificUnited StatesUnited KingdomCanada
