Bank of Canada Warns of Elevated Market Correction Risk, Cites Vulnerabilities
Bank of Canada warns markets are highly vulnerable to a sharp correction due to stretched valuations and elevated debt, urging caution amid…
Bank of Canada warns markets are highly vulnerable to a sharp correction due to stretched valuations and elevated debt, urging caution amid…
Hedge funds now dominate electronic gilt trading, accounting for more than half of volumes, signaling a structural shift in UK bond market…
Stocks tumbled and oil prices spiked after renewed Middle East attacks stoked supply disruption fears and risk-off sentiment across global financial markets.
Goldman Sachs identifies South Korean leveraged ETFs as key volatility amplifiers, with KORU turnover jumping 20% and sparking fears of a destabilizing…
US natural gas futures fell in thin, pre-holiday trading as options expiration triggered position squaring, highlighting short-term technical pressure in energy markets.
Bitcoin volatility plunged to a nine-month low, signaling a breather in the crypto market as traders reassess positions following recent gains.
Crypto companies are pivoting from volatility-driven profits to sustainable business models, as latest earnings reports indicate a move toward long-term discipline, signaling…
Dollar volatility slides to multi-year lows, prompting FX traders to abandon momentum plays in favor of interest-rate carry trades and currency value…
Nvidia options have overpriced post-earnings moves 14 of 20 quarters, creating a potential edge for volatility sellers ahead of its next report.
A colossal call option wager on crude oil, tied to a potential Iran conflict, triggered a sharp rally in energy markets, underscoring…
Euronext exceeded profit forecasts driven by volatility-led trading and its Greek exchange, reinforcing the exchange group's diversified revenue streams.
Nvidia call options volume outpaced puts by over 2-to-1 on Monday, but the majority of calls were sold at the bid, indicating…