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Browse our complete collection of financial news and analysis
Browse our complete collection of financial news and analysis
Browse our complete collection of financial news and analysis
Oil demand growth is expected to remain strong for the year, while supply growth will likely remain modest, even as geopolitical risks drive volatility in energy markets.
U.S. producer inflation rose less than expected in March despite higher energy prices, while markets rallied; however, persistent inflation and geopolitical tensions keep uncertainty over future Federal Reserve policy decisions elevated.
Ceasefire optimism has stripped 18% off RBOB gasoline futures since May, but weakening consumer finances suggest the selloff may have legs well beyond any Middle East resolution.
Nearly half of Russell 2000 companies can't cover their interest costs, yet small caps are surging: the real story is what's driving the rally, and whether it can survive once the oil catalyst fades.
Equity contracts edge higher after Tuesday's pullback; oil extends rally on Hormuz risk and UAE's OPEC+ exit, gold slips and dollar softens.
Broadcom’s record earnings couldn't stop a 14% share drop after forecasts missed expectations. Explore how this valuation paradox is dragging down Nasdaq futures ahead of Friday’s US jobs report.
Both consumer and producer prices in China climbed sharply in April, with the monthly CPI rate turning positive and PPI posting its steepest annual gain in 45 months.
German business sentiment fell as firms cited war-driven oil shocks, delaying recovery but the euro stayed resilient.
Nasdaq's worst drop in a year exposed the fragility of a market priced for perfection; With chips reeling and rate fears revived, Apple's WWDC is now the AI trade's next defining moment.
Rising bond yields, a stronger dollar, and falling equity futures signal mounting market stress as entrenched inflation forces a rethink of Fed policy — with rate hikes back on the table.
If China increases U.S. soybean purchases without boosting overall global demand, the rally may fade as exports simply shift between suppliers.
The Dow Jones futures show resilience, outperforming Nasdaq and testing major resistance at 50,000. Time for a break or bounce?