Russia’s Budget Gap Widens to Record Despite Oil Revenue Boost
Russia’s budget gap hits an all-time high despite climbing oil revenues, pressuring the ruble, Russian equities, and emerging-market assets while supporting oil…
Russia’s budget gap hits an all-time high despite climbing oil revenues, pressuring the ruble, Russian equities, and emerging-market assets while supporting oil…
Ukraine’s overnight strike on two major Russian refineries lifts crude oil prices and reignites supply disruption fears across energy markets.
A Goldman Sachs poll shows 68% of investors expect Strait of Hormuz tensions to linger into H2 2026, lifting Brent crude over…
Gold climbs as safe-haven flows overwhelm concern over a US-Iran clash near the Strait of Hormuz, lifting precious metals despite geopolitical angst.
Aramco and Adnoc stealth shipments through Hormuz flash $85 oil as Iran choke-point risk returns, lifting crude prices and safe havens.
Oil's rally has transformed Nigeria from a distressed EM credit into a sought-after bet, sparking a naira rebound and a bond rally…
US consumer sentiment plunges to record low 50.0 on surging inflation expectations, triggering stock sell-off, Treasury rally, and gold’s flight to a…
A federal trade court struck down Trump's 10% tariffs, removing import duties and triggering a risk-on surge across equities, commodities, and FX.
Oil ticks higher on Gulf clashes that risk derailing ceasefire, driving crude supply concerns and short-term bullish momentum.
Vitol taps Mexican crude amid war-driven supply disruptions, tightening oil markets and supporting bullish price action in the near term.
U.S. considers military-base oil to refill SPR, pressuring crude prices and energy assets.
Malaysia’s central bank set to hold overnight policy rate at 3.00% as the energy crisis fails to stoke inflation, keeping ringgit, bonds…