Research Reports

Global & GCC Capital Markets Review: February 2022

March 06 , 2022

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Executive Summary

A monthly publication that covers the performance of GCC and global Capital markets (Equity & Fixed Income)

Key Trends

  • S&P GCC composite index rose by 3.2% for the month, driven by upward oil price momentum. All GCC markets gained for the month apart from Oman.
  • Kuwait index gained 3.9% in February 2022. Telecom sector topped the Boursa Kuwait Indices raising 10.9%.
  • MSCI world was down 2.7% for the month and S&P 500 was down 3.1% due to geopolitical tensions.
  • Oil prices hit multi-year highs and breached USD 100 per barrel in the month of February.


Table of Content

  • GCC Asset Class Monthly Performance
  • Global Asset Class Monthly Performance
  • Equities -Kuwait
  • Equities -GCC & Emerging Markets
  • Equities -Developed Markets
  • Fixed Income -GCC & Developed Markets
  • Oil Market
  • Cryptocurrencies

FAQ

Who prepared this report?
rnExperienced and qualified team of Marmore Mena Intelligence has prepared this report. Since its inception, Marmore has published over 1000 research reports and covered more than 25 varied industries and policy segments; all focused primarily on the GCC economies.

rnrnDo you have updates?
rnYes! A monthly publication that covers the performance of GCC and global stock markets, provides economic commentary and captures the happenings in GCC.

rnrnCan I only download certain sections of the report?
rnNo. The report can be downloaded in full length only

rnrnCan we ask questions?
rnYes, by all means. You can write your queries to us at enquiry@e-marmore.com

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