Oil Market in ‘Race Against Time’ on Hormuz, Morgan Stanley Says
Morgan Stanley flags a potential oil supply shock as the Strait of Hormuz faces elevated geopolitical risk, sending crude prices higher.
Morgan Stanley flags a potential oil supply shock as the Strait of Hormuz faces elevated geopolitical risk, sending crude prices higher.
Iran war drives China's factory-gate inflation to the highest since 2022 as oil and commodity prices spike, rattling equities and currency markets.
Modi's call to halt gold purchases pummels jewelry stocks and injects bearish pressure into global gold markets as Indian demand faces policy-driven…
Physical oil buyers backed away, easing the squeeze and dragging prompt futures lower — a bearish short-term signal for crude.
China's Zhaojin Mining eyes overseas gold assets amid surging gold prices and a wave of industry M&A, potentially boosting gold demand and…
China’s factory inflation surges to a post-Covid high of 6.8%, driven by energy and raw material cost shocks, squeezing producer margins and…
Gold falls as Trump rejects Iran’s offer, stoking inflation fears and lifting bond yields and the dollar, analysts say.
Oil surges as Trump rebuffs Iran’s peace offer, escalating Middle East tensions and driving a sharp repricing of supply risk across crude…
Modi's fuel-conservation appeal targets India’s $100B+ oil imports, potentially pressuring crude prices and lifting Indian equities if consumption drops.
Aramco profit smashes estimates on war-fueled oil price surge, offsetting export disruptions.
Malaysia's Prime Minister Anwar to outline oil supply continuity plan via Bernama, drawing attention to Southeast Asian crude flows and energy policy…
The Iran war triggers an unprecedented drain on global oil buffers, sending crude to multi-year highs and rattling markets with supply-shock inflation…