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Crude Futures' 60% March Rally Gains Steam as Houthi Escalation Opens a Third Front in Iran War, Worsening Supply Shock
Crude remains poised for a record monthly surge as Houthi missile attacks open a new Red Sea front, intensifying Iran war risks and disrupting key shipping routes.
Nasdaq 100 Slides Into Correction as Iran War Fans Inflation Fears and AI Doubts Pile Pressure on a Bull Run
Donald Trump’s Iran conflict drove oil above $110, fueling inflation fears, and pressuring the Nasdaq 100 futures into correction.
Crude Futures Gallop Past $110 After Iran Rebuffs Trump’s Climbdowns – Geopolitical Premium Unlikely to Fade Meaningfully, Say Analysts
Oil rose over 2% despite Donald Trump delaying action against Iran, as persistent tensions, supply disruptions, and stranded vessels continue to fuel volatility and keep crude prices elevated.
Iran War Dents German Business Sentiment Yet Euro Futures Stay Bid
German business sentiment fell as firms cited war-driven oil shocks, delaying recovery but the euro stayed resilient.
Asian Markets, Oil Accept Trump’s Assurance of Peace Talks Even as Iran Keeps the Noose Tight
The Trump administration’s peace push and Pakistan mediation lift markets despite ongoing U.S.-Iran conflict and persistent uncertainty.
US Manufacturing Holds up in Face of Iran War Even as Business Activity Slows to 1-Year Low
The market received the mixed private sector activity readings positively but the war impact is beginning to show up on metrics such as prices, employment and export orders.
Crude Futures Resume Climb: Iran Refutes Trump’s ‘Productive Conversations’ Claim; Texas Blast Adds Jitters
Renewed geopolitical tensions around the Strait of Hormuz and a refinery explosion in Texas heightened supply concerns, driving a broad-based rebound across crude, fuels, and natural gas markets.
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.
Gold Enters Bear Market Amid US-Iran War: What History Says Happens Next
Gold enters a bear market as rising yields and a stronger dollar outweigh geopolitics, with macro forces driving risks and future direction.
From Energy Shock to Economic Reset: Why Iran’s Strike on Ras Laffan Threatens Wide-Ranging Global Ripples Across Supply Chains, Markets and Consumers
Iran strikes cripple Qatar's Ras Laffan Industrial City, tightening LNG supply and lifting prices, stoking fears of cascading global economic and 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.
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