Bitcoin fell below $77,000 amid rising oil prices and geopolitical tensions, triggering a $1B ETF outflow. The macro headwinds may delay Fed rate cuts.
With 20% of global LNG flowing through Hormuz, the Iran standoff threatens natural gas markets. Analysis of supply risks and geopolitical stakes.
Bitcoin drops 1.2% amid geopolitical tensions and oil price surge, raising fears of persistent inflation and Fed rate hikes.
Rising oil prices from geopolitical tensions are fueling inflation fears, pushing back Fed rate cut expectations and weighing on risk assets like Bitcoin.
The 10-year German bund yield surged to its highest since May 2011, joining a global bond selloff driven by inflation fears and geopolitical tensions.
China commits to $17 billion annual US agricultural purchases through 2028, while Putin-Xi meeting adds geopolitical layer.
As Trump threatens Iran and G7 meets, Putin and Xi plan talks in Beijing, signaling a shift in global power dynamics.
Rising U.S. 10-year yields hit 12-month highs, driving a risk-off shift that pushed Bitcoin below $77K. Geopolitical tensions and inflation fears compound the sell-off.
Hong Kong-based investment firm Laurore trims IBIT stake as Harvard cuts, while Iran explores Bitcoin for Strait of Hormuz insurance. A tale of two crypto narratives.
Trump’s 2026 China visit avoids Taiwan friction. Analysis of strategic silence and market implications for US-China relations.
Trump's 2026 China visit sidelines Taiwan arms sales. Analysis reveals strategic pivot to trade and North Korea, reshaping US-Asia policy.
China agrees to buy US oil amid Trump-Xi summit, shifting global energy flows and impacting markets.
SpaceX's IPO prospectus flags Taiwan tensions as a key risk, echoing geopolitical concerns that could reshape space investment.
Trump says China agreed to buy U.S. oil in Beijing summit. Market implications for Iran tensions and global supply.
Trump's impatience with Iran and sticky inflation keep markets on edge. Analysis of oil, Fed policy, and investment implications.
US reiterates aid offer to Cuba conditional on fundamental political changes, signaling renewed pressure on the communist regime.
Nifty 50 edged down 0.2% amid U.S.-China summit uncertainty. Markets await trade and tech outcomes. Expert analysis inside.
Singapore analysts see Bitcoin ETF outflows as healthy consolidation, not a structural shift. But Strait of Hormuz risks could fuel inflation and crypto volatility.
Trump's warning on Iran ceasefire collapse reignites oil war premium. Analysis of market implications and strategic shifts.
Capital flows turned negative after five weeks of inflows, while US-China talks on Hormuz highlight geopolitical risks to energy flows.