
US Markets Closed for Presidents Day: What Traders Need to Know
Wall Street pauses for the federal holiday, yet volatility threats remain as markets gear up to interpret inflation data and earnings results in the coming days.
Professional trading strategies, risk management techniques, and market psychology insights to improve your trading performance.

Wall Street pauses for the federal holiday, yet volatility threats remain as markets gear up to interpret inflation data and earnings results in the coming days.

WTI crude saw a brief recovery on Friday as Iran negotiations eased geopolitical risk, but ongoing oversupply and broken trend lines indicate continued downward pressure in energy markets.

Gold soars past $5,000 as central banks boost reserves and investors seek refuge from currency weakness and geopolitical risks. Discover the forces behind this historic rally and its significance for your investments.

Gold has surpassed $5,000 as major banks forecast targets near $6,300 by year-end, yet investor caution prevails amid technical vulnerabilities and volatility.

Rising US-Iran tensions elevate oil prices as traders bet on geopolitical upside; hedge funds reach peak long positions in ten months amid market shift from supply glut to supply risk.

Silver plunged 26% in a single day in January 2026, driven by forced liquidations and margin calls rather than economic fundamentals. Discover what transpired and its implications for your portfolio.

An Arctic blast disrupted energy production and sent natural gas prices soaring 70% in a week, delivering a lesson in weather-driven commodity volatility that every trader should understand.

Gold has recovered above $5,000 as Deutsche Bank reiterates its $6,000 target, with central bank buying and weak real rates supporting the bull case despite recent volatility.

Silver climbs back to $91.18 as major financial institutions recommend buys. Discover what's driving the rally and how to position your portfolio.