Volatility

30 July 2026
European shares edge higher as earnings and buybacks offset Fed-led yield surge and geopolitical strains

European stocks rose as earnings beat yield pressures after Fed pause; long yields surged, boosting volatility.

30 July 2026
USD/CAD rebounds as US GDP and PCE loom, oil rallies on Middle East tensions

USD/CAD rebounds near 1.4060 as US GDP/PCE loom; oil at $93, geopolitics pressure CAD.

30 July 2026
Bank of England set to hold rates at 3.75% as sterling tests four-week lows amid policy uncertainty

Bank of England seen holding 3.75% on Super Thursday; markets watch split, forecasts, GBP/USD volatility.

30 July 2026
Fed holds rates as 30-year Treasury yield hits post-2007 high, pressuring global equities

Fed holds rates; sparse guidance steepens yield curve, lifts long yields, slams tech stocks; volatility hedges urged.

30 July 2026
Croatia PPI Jumps as CEE Fuel Shock Rekindles Inflation Risks Ahead of Key Data and Fed Split

Middle East fuel shock lifts CEE inflation risks; hawkish Fed and GDP data spur higher-for-longer bets.

30 July 2026
Japan Flags Uncapped Budget Requests as Dollar-Yen Holds Near 163.5 Amid Volatility Risks

Japan proposed no cap on budget requests, warning markets may overreact; USD/JPY hovered near 163.47.

30 July 2026
WTI slips below $83 as Fed holds rates and Middle East tensions roil oil markets

WTI dips below $83 despite huge inventory draw; Middle East tensions and options strategies signal rebound potential.

30 July 2026
EUR/USD Braced for Volatility as Hawkish Fed Hold Meets Eurozone GDP and ECB Divergence

EUR/USD near 1.1465; Fed hawkish hold fuels volatility. Use straddles on GDP, sell rallies via puts.

30 July 2026
Fed hold and Warsh rhetoric steepen Treasury curve as September hike odds drop

Fed held rates 9-3; curve steepened as inflation expectations rose, September hike odds fell; traders position.

30 July 2026
Houthis consider Red Sea transit fees as oil jumps on blockade threat near Bab el-Mandeb

Houthis consider Red Sea ship fees after Saudi blockade; Bab el-Mandeb risk lifts WTI, volatility strategies.

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