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Stock Futures Extend Losses Amid Stagflationary Fears as Oil Spikes Past $84 — How to Play the Volatility
Escalating U.S.-Iran tensions and oil supply risks raise stagflation concerns, complicating global monetary policy outlook ahead of key economic data.
Asian Markets Show Cautious Recovery While Iran Disputes Trump Negotiations Claims — Kospi Recovers From 7% Rout
Regional stocks rise modestly as easing inflation data and currency moves support gains, though oil shocks and geopolitical uncertainty continue to weigh.
More Evidence of Sticky Inflation Drops Even As Growth Disappoints — Stagflation Risk Looms?
Economic data signals stagflation risks as inflation stays sticky and growth softens, while resilient labor markets complicate the Federal Reserve’s policy outlook.
Hot PPI Prints Ahead of Fed Decision: Will Wholesale Inflation Push the Dollar Futures Past Critical Breakout Level?
Surging wholesale inflation and a near-certain Fed pause converge, with 100.5 flagged as the decisive technical breakout level to watch for the dollar futures.
Oil Crunch May Not Subside Even if US and Allies Plan to Release Massive Emergency Reserve Go Through, Say Analysts
Crude oil rebounded above $87 as supply disruption fears tied to the Strait of Hormuz overshadowed efforts by global policymakers to calm markets.
Brent Crude, European Gas Futures Jump After Iran Threatens Gulf Energy Infrastructure in Escalating Standoff
Brent spikes as Iran-Israel attacks hit energy assets, damaging LNG infrastructure, lifting prices and escalating global market risks
ECB, BOJ Keep Rates Steady but Warn of ‘Uncertain’ Impact from Energy and LNG Disruptions Caused by the Unceasing Iran War
G10 central banks hold rates steady and issued cautious commentary, citing Iran war-driven energy shock risks, and the forex market showed muted reaction to the decisions.
China Sets Slowest Growth Goal Since 1991, Adding a Macro Headwind for Global Futures Traders
China’s slower growth target and restrained policy goals signal a cautious economic outlook, keeping global futures traders alert to shifting demand trends.
Stocks Volatile, Crude Climbs on Trump's 'Not Good Enough' Comments to Iran's 10-Point Counter Proposals
Ceasefire hopes briefly lifted sentiment, but Iran’s rejection kept tensions high, sending oil higher and leaving equities volatile while the dollar held steady amid uncertainty.
Nasdaq Futures Struggle in Correction Territory Amid Iran War Escalation — Trump Sends Mixed Signals In Fresh Ultimatum
Escalating Middle East tensions lifted oil and increased risk aversion but Morgan Stanley makes the case that the correction may be coming to an end.
US Service Sector Slows on Iran War Concerns, But Remains in Expansion, Keeping Rate Cut Hopes Barely Alive
U.S. services PMI weakened in March as Iran war disruptions lifted costs and hurt employment, while markets rallied on softer data amid hopes the Fed may take a dovish stance.
March’s Blockbuster Jobs Report Makes the Case for Delaying Rate Hikes as the Fed Assesses Iran War Impact
U.S. job growth rebounded strongly in March, signaling a resilient labor market that could delay Federal Reserve rate cuts despite ongoing inflation concerns and a slight decline in labor force participation.