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

Gold Slips, Oil Holds: What Today’s Divergence Signals for Traders
Trading

Gold Slips, Oil Holds: What Today’s Divergence Signals for Traders

Gold is under pressure from rising real yields while oil stays firm near recent highs, revealing a key split in how different commodities react to today’s macro environment.

Global Yields Bite Equities: Trading in a Higher-for-Longer World
Trading

Global Yields Bite Equities: Trading in a Higher-for-Longer World

Long-term bond yields near multi-year highs are tightening equity valuations and reshaping FX and futures pricing. Here’s how traders can adapt in a higher-for-longer regime.

Higher-for-Longer Rates And Fiscal Risk: What Traders Should Watch Now
Trading

Higher-for-Longer Rates And Fiscal Risk: What Traders Should Watch Now

With few new data releases, markets are still driven by higher-for-longer rate expectations and rising fiscal worries, reshaping yields, gold, and risk appetite across asset classes.

Brent Crude’s $96 Rally: What It Means For Energy-Linked Futures
Trading

Brent Crude’s $96 Rally: What It Means For Energy-Linked Futures

Brent crude near $96 is lifting energy-linked futures and reviving inflation risks. Here’s how traders can turn this move into actionable strategies in a simulated environment.

Gold Retreats As Yields Firm: What The Pullback Really Signals
Trading

Gold Retreats As Yields Firm: What The Pullback Really Signals

Gold’s latest slide is more about shifting rate expectations than fading safe-haven demand, offering key lessons for traders watching yields, the dollar and macro risk.

Nasdaq Futures, Crude Oil, And The Geopolitical Risk Premium
Trading

Nasdaq Futures, Crude Oil, And The Geopolitical Risk Premium

A crude rally driven by Middle East tension is testing how Nasdaq futures and broader macro markets absorb geopolitical risk across assets.

US-Iran Tensions: Higher Oil, Tougher Environment For Risk Assets
Trading

US-Iran Tensions: Higher Oil, Tougher Environment For Risk Assets

Renewed US-Iran hostilities have lifted oil into a higher price regime, reshaping inflation expectations and pressuring risk assets across equities, bonds and crypto.

Middle East Oil Shock: Dollar Strength Meets Rupee Resilience
Trading

Middle East Oil Shock: Dollar Strength Meets Rupee Resilience

Middle East hostilities are lifting oil and supporting the dollar, yet the rupee is near a two‑month high, creating powerful lessons for FX and macro traders.

China’s 125% Tariffs: What Traders Need To Know About The New Trade Shock
Trading

China’s 125% Tariffs: What Traders Need To Know About The New Trade Shock

China’s move to hike tariffs on U.S. goods to 125% is reshaping risk sentiment across equities, commodities, FX, and index futures. Here’s how traders can navigate the fallout.