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Commodities
Likelihood of UK Warships in Strait of Hormuz Increases Amid Ongoing US Blockade
The probability of UK warships in the Strait of Hormuz has increased to 10% as the US maintains a blockade on Iranian ports.
Analyzing the Pentagon's Request to Automakers and Market Implications
The Pentagon's request to GM and Ford for weapon production raises concerns and questions about long-term military strategies and market impacts.
Assessing the Impact of Russian Attacks on the Ukraine Ceasefire Market
Russian attacks in Ukraine have lowered ceasefire market probabilities, affecting investor sentiment and strategies.
Understanding the Impact of the US-Iran Blockade on Market Dynamics
The US-Iran blockade in the Strait of Hormuz is affecting market dynamics, with traders expecting continued tensions.
The Impact of Falling Inflation Expectations on Fed Rate Decisions and Commodities
Falling inflation expectations signal possible Fed rate cuts, impacting gold prices and investment strategies. Stay informed on these trends.
Iran's Proposal for Safe Passage in the Strait of Hormuz: Implications for Traders and Investors
Iran may allow unimpeded shipping through Oman's Strait of Hormuz, signaling a potential de-escalation in geopolitical tensions.
Geelong Oil Refinery Fire threatens Australia’s Fuel Supply Amid Global Energy Market Disruptions
A Geelong oil refinery fire threatens 10% of Australia's fuel supply amidst ongoing global energy market disruptions.
US Sanctions on Iran: Implications for Oil and Uranium Markets
US sanctions targeting Iran's oil infrastructure may impact both oil prices and uranium enrichment negotiations, signaling market uncertainty.
France and Britain's Conference on Maritime Security: Implications for Investors
The upcoming Paris conference on maritime security may influence UK warship deployments in the Strait of Hormuz and impact oil markets.
Recent Hezbollah Footage Raises Concerns About Ceasefire Prospects
Recent footage of Hezbollah firing at Kiryat Shmona challenges ceasefire prospects, impacting market confidence and trading activities.
Analysis of U.S.-Iran Diplomatic Negotiations Following Senate Vote
The Senate rejected a war powers resolution, affecting the odds of U.S.-Iran diplomatic talks and military action.
Implications of Reimposed Sanctions on Rosneft and Lukoil for Oil Markets
Reimposed sanctions on Rosneft and Lukoil signal tighter oil supply, affecting market outlook amid geopolitical tensions.
Analyzing Market Predictions Amid Iran's Ongoing Conflict
The IMF predicts negative growth for Iran by 2026, with traders assessing a 14.5% chance of losing control over Kharg Island by June 30.
Gold Prices Rise as Traders Await U.S.-Iran Developments
Traders watch for U.S.-Iran dialogue as gold prices rise, reflecting market skepticism amid fluctuating geopolitical tensions.
Renewed U.S.-Iran Negotiations Lead to Declining Oil Prices
Oil prices are declining as renewed U.S.-Iran negotiations become more likely, leading to decreased odds of WTI reaching $160 by April.