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2025
Gold vs Crude Oil is a clash between a defensive store of value and a cyclical growth barometer, and understanding their differences helps traders position smarter across regimes in 2025.
Market volatility in 2025 is reshaping how index traders manage risk, time entries, and hedge portfolios, with sharper swings around policy headlines, earnings, and geopolitical news demanding tighter processes and faster decisions.
The five forex strategies with the strongest edge in 2025 are trend following, breakout trading, carry trade 2.0, mean reversion, and news-driven momentum, provided they’re paired with strict position sizing and risk controls