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.
UK 10-year gilt yields surged to their highest since 2008 amid a global bond selloff driven by US-Iran tensions and inflation fears.
As UK faces surging fuel demand and a potential obesity drug revolution, the nation's economic priorities are tested.
Analysts warn of a deepening energy crisis as global gasoline and diesel inventories near critical lows ahead of summer travel season.
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.
Trump's warning on Iran ceasefire collapse reignites oil war premium. Analysis of market implications and strategic shifts.
Iran ceasefire on 'massive life support' revives oil risk premium. Trump meets Xi amid trade talks and China's Iran worries. Market analysis inside.
Analysis of Trump-Xi talks on Taiwan, its ripple effects on oil prices and memory chip markets, with original commentary on investor positioning.
Trump-Xi meeting boosts Chinese AI stocks but reveals discord on Hormuz. Analysts urge caution on earnings.
Crude oil prices remain elevated above $100 as a fragile ceasefire stumbles, with inflation fears adding upward pressure. Our analysis examines the market dynamics.
Oil prices surge as tanker fleet disruption meets fading US-Iran peace hopes. Analysis of supply shock and geopolitical risk.
Markets abandon 2026 Fed rate cut bets as Middle East tensions and CPI data keep pressure on inflation, with oil prices rising.
S&P 500 edges higher amid geopolitical tensions from Iran, with oil prices surging and traders eyeing central bank cues.
Middle East conflict shifts rate cut expectations, with markets now pricing no cuts in 2026. Original analysis on inflation risks and RBA implications.
As Trump rejects Iran's peace proposal, the Trump-Xi summit takes center stage with trade, Taiwan, and Iran war on the agenda. Analysis of market and geopolitical implications.
China's crude imports fell 20% in April as Strait of Hormuz blockade disrupts supply. Expert analysis on energy security and market outlook.
Bitcoin stabilizes above $80K ahead of CPI data, while gold fluctuates on oil-driven inflation worries from faltering US-Iran talks.
Netanyahu declares war with Iran 'not over' as Trump rejects Tehran's response. Oil prices spike amid geopolitical uncertainty.
Saudi Aramco posts 26% Q1 profit jump, beating forecasts and lifting oil prices amid geopolitical tensions and strong Chinese demand.