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Oil Jumps 9% on Middle East Tensions: What It Means for Stocks and Fed Cuts
Trading

Oil Jumps 9% on Middle East Tensions: What It Means for Stocks and Fed Cuts

A sharp oil spike tied to Middle East tensions is hitting U.S. equities and forcing traders to rethink how quickly the Fed can cut rates.

Oil Futures In Focus: How Middle East Risk Ripples Through Markets
Trading

Oil Futures In Focus: How Middle East Risk Ripples Through Markets

Rising Middle East tensions and surging oil prices are reshaping equity and rate futures, challenging central-bank easing expectations and offering rich learning ground for simulated traders.

Iran Sanctions Rollback: Why Oil Traders Should Brace for a Volatility Spike
Trading

Iran Sanctions Rollback: Why Oil Traders Should Brace for a Volatility Spike

A temporary U.S. rollback of Iran oil sanctions and ongoing Gulf shipping risks are reshaping crude prices, inflation expectations, and trading opportunities in energy markets.

Gold And Silver Pull Back As Dollar Gains: What Traders Should Know
Trading

Gold And Silver Pull Back As Dollar Gains: What Traders Should Know

Gold and silver are retreating as renewed rate-hike fears and a stronger dollar weigh on metals. Learn what’s driving the move and how traders can navigate the volatility.

Oil Whiplash: How US–Iran Waivers And Peace Hopes Are Repricing Crude
Trading

Oil Whiplash: How US–Iran Waivers And Peace Hopes Are Repricing Crude

Temporary US sanctions waivers on Iranian oil and hopes for a Middle East peace deal are reshaping global supply expectations, shaking crude prices, energy equities, and inflation forecasts.

Factory Output Up, Jobs Down: How Traders Can Read Mixed US Manufacturing Signals
Trading

Factory Output Up, Jobs Down: How Traders Can Read Mixed US Manufacturing Signals

US manufacturing PMI has jumped back above 50 even as factory job cuts rise. Here’s what this divergence means for rates, sector rotation, and trading strategy.

Oil Rebounds On Iran Waiver Headlines: What Traders Need To Know Now
Trading

Oil Rebounds On Iran Waiver Headlines: What Traders Need To Know Now

A temporary U.S. sanctions waiver on Iranian oil jolted prices, futures, and FX. Here’s how to interpret the rebound and build smarter trading scenarios around it.

Tech Turbulence: How Rate Jitters Are Pressuring U.S. Market Futures
Trading

Tech Turbulence: How Rate Jitters Are Pressuring U.S. Market Futures

Tech weakness and rate worries are driving a risk-off tone in U.S. futures. Here’s what traders should watch across equities, yields, and the dollar.

Dollar Near Multi‑Month Highs: How PCE and Iran Talks Could Jolt FX Markets
Trading

Dollar Near Multi‑Month Highs: How PCE and Iran Talks Could Jolt FX Markets

The dollar is hovering near multi‑month highs ahead of key U.S. PCE inflation data and Iran talks. Here’s what that means for major FX pairs and event‑driven trading strategies.