Oil

22 June 2026
USD/CAD hits 14-month high on Middle East tensions as focus turns to Canada CPI

USD/CAD hit 14-month highs near 1.4190 on safe-haven USD demand; Canada CPI, oil risks loom.

22 June 2026
WTI slides as US-Iran deal progress raises prospects of Iranian crude returning within 60 days

WTI slips to $75.50 as US-Iran talks progress, raising supply fears; technicals signal further downside risk.

22 June 2026
Gold rebounds above $4,200 as Fed hawkishness and Middle East tensions cap upside

Gold rebounds above $4,200, but strong dollar, hawkish Fed odds, and geopolitics keep recovery fragile.

22 June 2026
Dollar index rebounds as US-Iran tensions and hawkish Fed stoke inflation and rate fears

Dollar rebounds as US-Iran tensions and Hormuz risk boost inflation fears, reinforcing hawkish Fed, higher-for-longer rates.

22 June 2026
USD/CAD near 2025 highs as risk aversion and Fed-BoC divergence weigh on loonie

USD/CAD rises near 1.4175 as geopolitical tensions boost US dollar; dovish BoC, weak Canada data.

22 June 2026
EUR/USD slips as US-Iran tensions lift dollar, with Lagarde remarks and ECB rate bets in focus

EUR/USD dips near 1.1460 as US-Iran tensions lift dollar; ECB hike risks and Lagarde remarks add volatility.

22 June 2026
WTI jumps towards $78 as Iran closes Strait of Hormuz, stoking supply fears and volatility

WTI jumped above $77 after Iran’s Hormuz closure revived supply fears, boosting volatility and call-option appeal.

20 June 2026
Iran Threatens Hormuz Closure, Roiling Oil and Volatility Markets as Investors Brace for Supply Shock

Iran moves to close Strait of Hormuz, sparking fears of major oil shocks and market volatility.

20 June 2026
Oil sheds war premium as US-Iran MoU lifts sentiment despite lingering Hormuz shipping constraints

Brent near $80 as war premium fades, but Hormuz disruptions, tight inventories, and conflict risks remain high.

20 June 2026
USD/CAD Climbs Towards 1.4200 as Fed-BOC Policy Gap and Softer Oil Lift Greenback

USD/CAD extends weekly rally toward 1.4200; overbought RSI warns pullback, while policy divergence and weaker oil underpin.

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