Oil

27 May 2026
WTI slips as US-Iran talks, Hormuz risks and low oil volatility fuel options demand

WTI slips as US-Iran ceasefire strains; Hormuz risks persist, prompting traders to buy volatility via options.

27 May 2026
Macro headwinds, oil and yield differentials keep rupiah under pressure as BI tightens

Rupiah faces headwinds from high US yields, oil, and deficits; BI hikes help, reversal catalysts exist.

27 May 2026
Sri Lanka central bank lifts rates 100bps, signals further tightening to curb inflation and support rupee

CBSL hiked rates 100bps to curb inflation and support LKR; markets price further hikes amid oil risks.

27 May 2026
Gold tumbles as dollar firms on Iran tension, with Fed bet and Core PCE in focus

Gold drops 1.6% as dollar strengthens after Iran strikes; oil falls, volatility rises, focus shifts to Core PCE.

27 May 2026
India’s WPI surge widens gap with CPI as oil costs threaten inflation pass-through

India caps fuel pass-through, containing CPI, but surging WPI signals looming spillover, driving hawkish RBI, volatility.

27 May 2026
Dollar steadies on Middle East risk; Aussie inflation looms as oil and gold retreat

Dollar steadies near 99 amid Iran-Hormuz uncertainty; EUR/GBP ease, JPY weak; oil and gold slip.

27 May 2026
Sterling slips as Iran tension lifts dollar and Fed outlook diverges from Bank of England

Sterling fell as US-Iran tensions and hawkish Fed bets boosted dollar demand; GBP/USD dropped near 1.3444.

27 May 2026
S&P 500 and Nasdaq hit records as chip surge leaves Dow lagging ahead of PCE data

Memorial Day return saw tech-led records, Dow lagging; Micron surge, oil volatility, and PCE threaten downside.

27 May 2026
Societe Generale sees Hormuz closure pushing Brent towards $200 as inventories slide and recession deepens

SocGen stress case: Hormuz shut through 2026, inventories plunge, Brent near $200; traders eye calls, spreads.

27 May 2026
TD Securities sees Fed on hold into 2026 as Iran-driven oil shock keeps US inflation elevated

TD Securities expects Fed on hold amid Iran-driven stagflation, supporting a higher-for-longer stance and stronger dollar.

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