The Iran war enters its 100th day, pushing energy costs higher and reigniting inflation in major economies. Analysis of market impact and central bank response.
Quantitative hedge funds achieve double-digit returns in 2026, driven by strong commodity trends. Energy, currencies, and metals fuel gains as trend-following strategies capitalize on supply shocks and geopolitical shifts.
BitMEX co-founder Arthur Hayes exits HYPE and NEAR positions, citing Iran tensions and AI IPOs. A pattern of 'shill then sell' draws scrutiny.
Tesla's Shanghai Gigafactory delivered 85,982 vehicles in May, signaling a recovery in China's EV market amid broader industry growth of 12% year-on-year.
Markets swing on conflicting Iran-Israel signals: oil spikes, gold steadies, and Bitcoin crashes below $70K amid geopolitical uncertainty.
Iran escalates tensions, threatening to block Strait of Hormuz, sending oil prices up 6%. Global markets react as ceasefire hopes fade.
Iran vows to block the Strait of Hormuz, sending oil prices up 6% and European stocks lower as geopolitical tensions escalate.
SoftBank plans โฌ45B AI infrastructure investment in France over five years, marking its largest European push amid soaring energy costs and global AI race.
Kuwait activates air defenses amid missile threats from Iran. Oil surges 3% on Strait of Hormuz fears. U.S. strikes and sanctions escalate conflict.
Polish energy giant Orlen reported a 22.8% jump in adjusted Q1 EBITDA, beating analyst expectations on higher refining margins and cost controls.
US strikes in Iran reignite volatility; oil jumps 4% as markets weigh ceasefire odds and Strait of Hormuz blockade.
Wells Fargo upgrades Chevron, citing strong assets and a new partnership with Microsoft to power AI data centers.
The UAE, Saudi Arabia, and Qatar race to become AI hubs, but rising geopolitical tensions with Iran threaten their stability and cheap energy advantage.
Trump's signal of a potential Iran deal could reshape energy markets. We analyze the implications for oil prices, inflation, and investor sentiment amid geopolitical uncertainty.
Stock market bulls regain control as oil prices and bond yields fall, pushing the S&P 500 within striking distance of a record close. Peace hopes and AI enthusiasm drive the โฆ
The 30-year Treasury yield reached its highest since 2007, driven by oil above $100 and geopolitical tensions, impacting equity markets.
APEC meetings hosted by China reveal persistent US-China trade gaps, with China pushing tariffs down and US seeking balanced trade, while Rubio's India visit highlights broader geopolitical tensions.
US Secretary of State Marco Rubio meets Indian PM Modi to discuss trade and energy, seeking to repair ties strained by tariffs and geopolitical shifts.
Deepening trust between Putin and Xi drives a major gas pipeline deal, impacting energy markets and geopolitics. Analysis of market and regulatory angles.