Global markets are showing mixed signals as investors navigate changing monetary policies, geopolitical tensions, and the rising influence of digital assets. In this episode of Finance Pulse, we explore key market movers: gold and silver approach record highs on hopes of U.S. interest-rate cuts amid cooling inflation, Nike shares slide under pressure from U.S. tariffs and weak demand in China, Egypt defends a $35 billion gas deal with Israel to secure energy amid declining domestic production, and India sees institutional crypto investments surge 30–50%, outpacing global peers.



