Tag Archives: Oil
oil
Dollar Slides, Stocks Rebound as US-Iran Ceasefire Extension and Nuclear Talks Plan Emerges
Report: US-Iran 60-day ceasefire extension MOU sparks USD drop; oil bearish, volatility lower; equities bullish.
MUFG sees Middle East risk and higher oil prices boosting dollar via hawkish Fed shift
Middle East tensions and higher oil boost inflation fears, pushing Fed hawkishness, lifting yields, volatility, and dollar strength.
Strait of Hormuz Closure Keeps Oil Above $125, Squeezing Swiss Industry and Driving Volatility Trades
Strait of Hormuz closure sustains energy shock, squeezing Swiss industry; elevated volatility creates opportunities in options, pairs trades.
USD/CAD hits fresh highs as US–Canada yield gap and risk aversion weigh on the loonie
Canadian dollar slips as USD/CAD nears highs on risk aversion, wider yield spreads, and cautious BoC.
Euro slips as Iran tensions lift oil, with US PCE and ECB outlook set to trigger breakout
Euro slips amid Iran tensions and higher oil; ECB hike supports, while US PCE may trigger breakout.
Euro steadies above 1.1600 as Iran tensions lift oil and underpin dollar demand
EUR/USD rebounded above 1.1600, but geopolitical tensions lifted oil, boosted dollar demand, and kept euro constrained.
Global equities retreat as US strikes and Iran sanctions spur risk-off mood, lifting oil and yields
Global stocks fell after US strikes and sanctions on Iran, dragging futures, Asia, oil higher, yields.
Global equities set to slip as oil and yields rise on renewed US-Iran tensions
Global equities dip as US-Iran tensions lift oil and yields, sparking profit-taking in momentum tech stocks.
Iran IRGC action lifts oil and dollar, stokes volatility as investors seek havens and hedges
IRGC claims it targeted US airbase; markets turn risk-off as oil, dollar, VIX rise sharply.
US sanctions on Iran’s Hormuz authority lift WTI towards $90 as oil volatility jumps
US sanctions Iran’s Hormuz transit authority as strait closure tightens supply, lifting WTI near $90 amid volatility.