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Oil Futures Surge on Iran–US Strikes: What Traders Need to Know
Trading

Oil Futures Surge on Iran–US Strikes: What Traders Need to Know

WTI and Brent have jumped on renewed Iran–US strikes, reviving Middle East supply fears and reshaping risk for energy, equities, and FX traders.

Oil Surge, Yield Shock: How U.S.–Iran Tensions Are Testing Global Markets
Trading

Oil Surge, Yield Shock: How U.S.–Iran Tensions Are Testing Global Markets

Renewed U.S–Iran tensions have pushed oil higher and pressured stocks and bonds, forcing traders to rethink risk, hedging, and cross‑asset correlations.

Oil Shock And Risk-Off: How Middle East Tensions Are Repricing Global Markets
Trading

Oil Shock And Risk-Off: How Middle East Tensions Are Repricing Global Markets

Renewed US-Iran conflict and an oil spike above $90 have triggered a global risk-off move, reshaping equities, bonds, FX, and opportunities for traders in simulated environments.

Global Bond Yield Surge: How Higher Rates Hit Stocks And Lift The Dollar
Trading

Global Bond Yield Surge: How Higher Rates Hit Stocks And Lift The Dollar

Global bond yields have jumped to multi‑year highs, pressuring equities and boosting the US dollar. Here’s what the new high‑yield regime means for stock and FX traders.

Oil Futures Under Fire: Trading the Strait of Hormuz Shock
Trading

Oil Futures Under Fire: Trading the Strait of Hormuz Shock

Fresh strikes in the Strait of Hormuz have pushed crude above $90, jolting futures, inflation expectations and cross-asset risk, and offering a live case study in geopolitical market shocks.

Futures Under Pressure: How Rising Yields Fuel Risk Aversion
Trading

Futures Under Pressure: How Rising Yields Fuel Risk Aversion

Equity index futures are slipping as bond yields and geopolitical risks rise, offering a timely lesson in how macro forces drive risk-off markets.

European Equities Buckle Under Inflation And Yield Pressure
Trading

European Equities Buckle Under Inflation And Yield Pressure

European stocks slid to a one-month low as inflation surprises and surging bond yields tightened financial conditions, reshaping opportunities in FX, rates and index futures.

Germany Retail Slump, Japan PMI, Peru CPI: Why Today’s Data Matters for FX
Trading

Germany Retail Slump, Japan PMI, Peru CPI: Why Today’s Data Matters for FX

Germany’s weak retail sales, upbeat Japan data, and sticky Peru inflation reshape growth and rate expectations, offering rich macro scenarios for FX and SimFi traders.

Oil Shock At The Strait Of Hormuz: How U.S.–Iran Tensions Are Repricing Markets
Trading

Oil Shock At The Strait Of Hormuz: How U.S.–Iran Tensions Are Repricing Markets

Renewed U.S.–Iran hostilities in the Strait of Hormuz are driving oil and yields higher, pressuring risk assets and reshaping cross‑asset correlations for traders.