Research Reports

Global & GCC Capital Markets Review: May 2022

June 02 , 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 fell 7.0% for the month, as GCC markets give up gains stung by global growth and inflation concerns.
  • Kuwait index fell by 6.4% in May. Telecom and Consumer Staples declined the most at 8.4% and 8.2% respectively.
  • Developed markets' performance was mixed during May, with MSCI World losing 0.2% and S&P 500 remaining flat.
  • Oil prices were up by 12.3% for May 2022, due to concerns over oil market tightening.


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

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