Volatility

9 June 2026
Canadian dollar slips as markets brace for Bank of Canada decision, US inflation data

Canadian dollar slips as traders await BoC decision and US CPI; strong jobs, inflation, weaker oil pressure.

8 June 2026
Gold Slides Beyond 4% as Dollar and Yields Rise, 200-Day Average Break Adds Pressure

Gold slumps over 4% as dollar, yields rise; breaks 200-day SMA; volatility spikes despite central-bank buying.

8 June 2026
Rabobank flags surging Canadian dollar shorts as recession fears clash with Bank of Canada hike bets

CAD shorts jump 36% to highest since Dec 2025; recession data clashes with BoC hike pricing, volatility.

8 June 2026
WTI dips from intraday highs as Trump flags Israel-Iran ceasefire push, keeps Iran port blockade

Trump says Israel-Iran seek immediate ceasefire; US port blockade remains; oil eases but volatility stays high.

8 June 2026
Trump urges Iran-Israel halt as WTI eases, volatility bets rise amid protracted war fears

Trump urged Iran-Israel to stop attacks; oil dipped, but war risk keeps volatility high, options favored.

8 June 2026
SpaceX IPO Targets $1.75tn Valuation as Starlink Profits Clash With Heavy AI and Space Losses

SpaceX’s June 12 IPO targets $1.75tn, with huge demand, losses, and index-driven buying catalysts ahead.

8 June 2026
Nasdaq Tumbles Nearly 5% as Volatility Spikes and Technical Support Faces Key Test

Nasdaq drops nearly 5%; 23.6% Fibonacci support holds as 29,305 caps rebounds, with VIX spiking.

8 June 2026
ING warns of sterling weakness as BoE holds fire, lifting EUR/GBP and pressuring cable

ING warns pound may weaken as BoE stays cautious; hawkish ECB and fragile equities push EUR/GBP, GBP/USD lower.

8 June 2026
HSBC Flags Crosscurrents for Dollar as Middle East Risks, Tariffs and Fed Meeting Loom

HSBC: Middle East tensions, US tariffs, and June Fed meeting drive USD volatility; longer-term softness, upside risk.

8 June 2026
Brent climbs towards $96 as Israel–Iran clashes reprice Middle East supply risk and volatility

Brent nears $96 as Israel–Iran strikes lift Hormuz supply fears, spiking volatility; CPI/ECB events add uncertainty.

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