Hormuz Reopening Stirs Debate; Oil Tankers Resume But Full Recovery Remains Uncertain
Strait of Hormuz reopening sparks debate over crude oil supply recovery, with tanker resumption slow amid geopolitical risks and elevated insurance, threatening…
Strait of Hormuz reopening sparks debate over crude oil supply recovery, with tanker resumption slow amid geopolitical risks and elevated insurance, threatening…
Middle East oil benchmarks fell amid growing expectations of higher OPEC+ output, dragging global crude prices lower.
Canada's first oil sands approval since 2013 signals a supply boost set to weigh on crude prices, lift Canadian energy equities, and…
Waste Management of Canada's planned C$750 million bond sale adds corporate supply to Canadian fixed-income markets, testing demand for investment-grade waste management…
Crude oil's failure to reach $100 a barrel stems from a perfect storm of oversupply, weakening demand, and a resilient U.S. dollar…
Alberta's pipeline financing talks with a Fortune 500 firm aim to expedite oil takeaway capacity, boosting prospects for Canadian energy equities and…
Canadian bonds surged after the Bank of Canada held rates and pointed to economic softness, fueling expectations that the next move could…
Cenovus slams Canada’s carbon capture pipeline plan as unfinanceable, spooking energy investors and dragging on the loonie.
USD/CAD pulled back from multi-month highs as the Canadian dollar staged a modest recovery even as crude oil extended losses, raising questions…
The Canadian dollar fell to a 2026 low versus the US dollar after the Bank of Canada kept rates unchanged, erasing hike…
Canada's trade surplus surged in May 2026 to its largest since before US trade tariffs, propelled by booming crude oil exports and…
Amazon's record C$14 billion Canadian-dollar bond sale, the largest by a non-financial company, signals robust corporate credit demand and may affect CAD…