Nassim Shadid
Markets
I write about markets the way I follow them: with a bias toward risk and timing, not predictions. I spend most of my time watching what leads—rates, FX, liquidity, and positioning—before the headline catches up. My pieces aim to be usable. I try to show what the move is built on, where it can break, and which signals deserve attention instead of commentary.
Latest by Nassim Shadid
2026-08-15 UTC
The S&P 500's Unanchored Ascent: A Fundamental Disconnect
markets
2026-08-14 UTC
Rate Expectations Recalibrate: Equity Records and Nuanced Signals
markets
2026-08-14 UTC
KOSPI's Chip Rebound: A Signal for Global Tech Sentiment
markets
2026-08-12 UTC
Canada's Auto Calculus: Concession as Strategic Reorientation
markets
2026-08-12 UTC
Vestas' Margin Revisions Signal Maturing Wind Sector Profitability
markets
2026-08-10 UTC
Dual Signals: Asian Rebound Masks Geopolitical Oil Risk
markets
2026-08-09 UTC
Shifting Gears on Humanoids: The Compute Imperative
markets
2026-08-07 UTC
CSG's Segmental Performance: A Microcosm of Focused Industrial Strength
markets
2026-08-05 UTC
Dollar Weakness Shifts FX Dynamics: Regional Resilience and Intervention's Edge
markets
2026-08-04 UTC
Evonik's Guidance: A Signal of Resilience Amidst Sector Headwinds
markets
2026-08-03 UTC
Geopolitical Signals and Market Reflexes: The Iran Factor in Oil and Equities
markets