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Professional trading strategies, risk management techniques, and market psychology insights to improve your trading performance.

Safe Havens in the Crosshairs: Trading FX, Gold and Oil on US–Iran Tensions
Trading

Safe Havens in the Crosshairs: Trading FX, Gold and Oil on US–Iran Tensions

US–Iran tensions are reigniting safe‑haven flows across FX, gold and oil futures. Here’s how the macro story, inflation risks and volatility translate into practical trading opportunities.

Slowing Demand, Sticky Inflation: What PPI And Sentiment Mean For Traders
Trading

Slowing Demand, Sticky Inflation: What PPI And Sentiment Mean For Traders

Falling US PPI, weak consumer sentiment, and sticky inflation expectations are reshaping the Fed outlook and fueling two‑way volatility in rates, USD, and equity index futures.

Oil Futures on a Knife Edge: War Premiums, Peace Rumors, and Trading Opportunities
Trading

Oil Futures on a Knife Edge: War Premiums, Peace Rumors, and Trading Opportunities

Oil futures just swung from a 9% war‑driven spike to a sharp pullback on US–Iran deal speculation. Here’s what it means for crude, inflation, rates, and active traders.

Risk-Off Returns: Why US Stocks Are Sliding While Gold Holds Its Ground
Trading

Risk-Off Returns: Why US Stocks Are Sliding While Gold Holds Its Ground

A fresh risk-off wave has hit US equities as investors rotate into gold and other havens on rising recession fears, tightening financial conditions and lifting volatility across assets.

Peace Dividend: How the US–Iran MoU Shocked Oil, Stocks, FX and Crypto
Trading

Peace Dividend: How the US–Iran MoU Shocked Oil, Stocks, FX and Crypto

A surprise US–Iran peace memorandum erased war premiums across markets, sending oil lower and risk assets surging. Here’s how the shock rippled through oil, equities, FX and crypto—and what traders can learn.

War Premium Whiplash: How Oil’s Spike and Reversal Hit Energy and Inflation Trades
Trading

War Premium Whiplash: How Oil’s Spike and Reversal Hit Energy and Inflation Trades

A rapid war‑driven oil spike and equally fast reversal have shaken energy, inflation trades, and rate expectations. Here’s what happened, why it matters, and how traders can adapt.

Oil Futures Whipsaw on US‑Iran Headlines: What Volatility Is Telling Traders
Trading

Oil Futures Whipsaw on US‑Iran Headlines: What Volatility Is Telling Traders

Oil and energy‑sensitive FX spiked on US‑Iran war fears then reversed on deal headlines. Here’s what the volatility reveals and how traders can build a better playbook.

US–Iran MoU: Why Oil’s Risk Premium Is Staying Higher for Longer
Trading

US–Iran MoU: Why Oil’s Risk Premium Is Staying Higher for Longer

A fragile US–Iran memorandum of understanding has eased war risks but preserved key pressure points, keeping a geopolitical premium embedded in oil, products and petro‑FX like CAD and NOK.

Oil’s Whipsaw: What the Latest Middle East Shock Means for Traders
Trading

Oil’s Whipsaw: What the Latest Middle East Shock Means for Traders

Crude has pulled back from its US–Iran spike but remains volatile as Middle East risk and central bank expectations collide. Here’s how to trade the noise and the narrative.