Saudi Wealth Fund Sells First Dollar Bonds Since Iran War
Saudi PIF dollar bond sale after Iran war signals market normalization, adding supply to dollar debt and supporting risk assets as geopolitical…
Saudi PIF dollar bond sale after Iran war signals market normalization, adding supply to dollar debt and supporting risk assets as geopolitical…
Fed’s Collins dissent and impending Warsh transition inject policy uncertainty, nudging bond yields and the dollar lower while equity markets consolidate.
IEA chief warns Canada not to miss a ‘golden opportunity’ in energy, fueling bullish bets on oil, Canadian stocks, and the loonie.
Strategy’s Bitcoin gamble masks a uglier truth of convertible note dilution and a deteriorating software business, raising the risk of a sharp…
Fed’s Collins backed FOMC dissenters, revealing policy wording rift without altering rate trajectory.
Trump rules out oil export curbs after US crude exports surge to a record 5.2 mb/d, pressuring WTI but lifting energy stocks…
Asia heat waves lift oil demand, double-trouble for import-reliant economies facing surging energy costs, threatening currencies and sovereign credit outlooks.
Oil loading delays at Oman's port disrupt crude flows, sparking fears of a supply squeeze that lifts oil prices.
China’s strategic oil release injects 500,000 b/d of crude, flipping Brent below $75 and pressuring WTI despite OPEC+ curbs.
Sabotage threats against Europe's power networks force a security overhaul, driving up costs and operational risk for the utilities sector.
Singapore’s new home-flipping curbs after a price jump threaten property stock valuations as investors brace for cooling measures and reduced speculative activity…
Goldman-backed Japanese taxi app Go aims for a $1.3 billion valuation in Tokyo IPO, signaling strong investor appetite for tech listings on…