Oil

4 August 2026
Yen Surges on US Intervention Talk, Spotlighting Japan’s Treasury Holdings and Wider Market Ripples

Yen surged on intervention talk, raising Treasury-sale risks; traders eye EURAUD, silver range, volatile oil, strong equities.

4 August 2026
Dollar Index holds near 100 as Hormuz tensions and Fed hike bets underpin demand

DXY nears 100 as Middle East tensions and Fed hike odds boost demand; traders hedge FX, oil.

4 August 2026
Brent and Gasoil Slide Despite Tight Supply, Traders Turn to Call Options for Rebound

Brent and gasoil prices plunged despite tight physical markets; persistent geopolitical and shipping disruptions may trigger rebound.

4 August 2026
Global equities hit record highs as cyclical rotation and software rebound offset Asian tech doubts

Global equities hit record highs as cyclical rotation and software’s 16% rebound drove gains amid lower oil.

4 August 2026
Rupee steady ahead of RBI rate decision as oil firms and dollar holds gains

Rupee flat near 95.33; RBI seen holding 5.25%. Oil, dollar data, and options strategies dominate outlook.

4 August 2026
Gold struggles to build gains as Middle East tensions lift dollar and Fed hike expectations

Gold inches up as Middle East tensions lift dollar and oil, capping bullion; bearish traders eye key supports.

4 August 2026
WTI edges higher as Middle East tensions sustain risk premium despite OPEC+ supply plans

WTI rises near $79.40 amid Middle East tensions, Hormuz shipping risks; OPEC+ supply hikes limit upside.

4 August 2026
EUR/USD slips towards 1.1500 as Hormuz tensions and US payrolls loom, options eye breakout

EUR/USD slips near 1.1500 as Middle East risks and US jobs loom; traders eye volatility and hedges.

4 August 2026
Iran Warns Against Second Strait of Hormuz Corridor as Oil Markets Brace for Volatility

Iran warns against second Strait of Hormuz corridor, threatens warships; markets brace for oil volatility, hedging.

4 August 2026
Brent Crude Stabilises After Sharp Decline

Brent crude steadies after a sharp decline as markets weigh US-Iran developments, Strait of Hormuz risks, OPEC+ output plans and global supply conditions.

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