China's Invisible Hand Is Rebalancing the Oil Market
China’s strategic oil release injects 500,000 b/d of crude, flipping Brent below $75 and pressuring WTI despite OPEC+ curbs.
China’s strategic oil release injects 500,000 b/d of crude, flipping Brent below $75 and pressuring WTI despite OPEC+ curbs.
Iran seizes an oil tanker reportedly carrying its own crude, rattling energy markets and spurring flight-to-safety flows into gold and the US…
Oil ticks higher on Gulf clashes that risk derailing ceasefire, driving crude supply concerns and short-term bullish momentum.
U.S. considers military-base oil to refill SPR, pressuring crude prices and energy assets.
Nifty 50 earnings beats on strong domestic demand lift Indian markets, providing a buffer against oil price shocks and global trade headwinds.
Angola's newest oil refinery commences operations, processing domestic crude to slash fuel imports and offering a slight bullish tilt for global crude…
Oil and stocks face binary outcomes based on how seriously markets interpret Trump's latest deal-making effort.
Oil prices slump and hold losses as the U.S. delivers a memo to Iran to open the Strait of Hormuz, easing supply…
Oil spikes 2%+ and US yields dip below 4% as Iran strike fears grip markets — limited action signals suggest sell-the-news opportunity.
US-Israel multi-day strike campaign in Iran drives sustained risk-off as oil spikes, gold bids, and volatility expansion hinge on retaliation timing.
Oil surges as US-Israel-Iran war enters Day 2 with tanker strike at Strait of Hormuz and Khamenei death reshaping Middle East risk…
Oil-linked futures surge 5% on Hyperliquid after U.S.-Israel strikes on Iran reignite supply shock fears, highlighting DeFi sensitivity to geopolitics.