Markets swing on conflicting Iran-Israel signals: oil spikes, gold steadies, and Bitcoin crashes below $70K amid geopolitical uncertainty.
CME's Bitcoin Volatility Index (BVX) now settles around the clock. Learn how extended hours impact hedging and volatility trading.
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.
Market maker Enflux highlights a paradox: bid support exists but no size is added. BTC holds tight range amid macro shocks and low volumes.
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.
Copper, aluminum, and zinc face inflation-induced volatility amid supply shortages and demand shifts. Analysis of market impact and outlook.
Google selects CNBC as a preferred news source amid market volatility. Analysis of impact on treasury yields, European stocks, and investor behavior.
UK 10-year gilt yields surged to their highest since 2008 amid a global bond selloff driven by US-Iran tensions and inflation fears.
Kospi volatility nears record highs amid $13.2 billion foreign sell-off and geopolitical tensions. Analysis of market impact and outlook.
The Dow Jones experienced a dramatic reversal, falling 1% before surging 370 points to reclaim 50,000. Our analysis explores the whipsaw and what it means for markets.
Inflation concerns rattle European markets while Solana's Alpenglow upgrade aims to stabilize staking rewards—two sides of the same coin.
The VIX surged 3.43% after a two-part inflation shock. We analyze the triggers, market implications, and what this means for volatility ahead.
UK PM Starmer faces mounting pressure as Labour MPs and ministers call for his resignation, threatening market stability and economic policy.
UK 10-year gilt yield jumps 10 bps to 5.10% as global bond markets rout. Analysis of causes, implications for BOE policy, and investor outlook.
The S&P 500 holds steady amid geopolitical turmoil, with energy stocks rallying on oil price spikes. Analysts see sector rotation and defensive plays dominating.
Leonardo shares fell 3% amid defense sector turbulence. Analysis of Italy's defense outlook and market implications.
Oil surges as US-Iran tensions escalate, while crypto markets stall. LIQUID presale nears $750K, and yen volatility persists amid Middle East uncertainty.
CME Group introduces Bitcoin volatility futures tied to the CME CF Bitcoin Volatility Index, offering new hedging tools.
CME Group to launch Bitcoin volatility futures on June 1, a step toward regulated products for institutional and retail investors.