Articles by tag: oil-price
US index futures rise on hopes for peace with Iran
Analysis of the impact of US-Iran negotiations on oil, inflation, and the stock market. Risks of escalation, gains and losses for investors. Read.
US stock markets rose 1.8-2.5% amid Iran deal — analysis
Analysis of S&P 500 and NASDAQ rally: $45 billion short squeeze, Iran's role, oil drop, and winning sectors. Read detailed analysis.
Israel's Actions Against Iran: Analysis for Investors
Why Israel's Statement on Readiness for Powerful Strikes Against Iran Is a Signal for Markets. Analysis of Oil, Defense Industry, and Nasdaq. Read the Forecast for 30-90 Days.
Nasdaq and S&P 500 crash: causes and consequences of escalation with Iran
Nasdaq and S&P 500 hit lows since May amid US-Iran strikes. Analysis of reasons for the drop, flight to quality, WTI crude above $90, who wins and loses. Read details.
Fitch downgraded economic growth forecast due to oil shock
Analysis: why the real Brent price will reach $110-130, and global growth will fall below 2%. Hedge fund insights and hidden risks of the Strait of Hormuz. Read.
IMF downgrades Middle East forecast to 1.5% due to conflict
IMF lowers Middle East growth forecast to 1.5% due to conflict in the Persian Gulf. Real losses, hidden risks, and consequences for GCC economies. Learn more.
Brent oil $100: Iran's attack on Kuwait and breakdown of talks with US
Iran's attack on Kuwait pushed Brent oil to $100. Analysis: why $95-102 is the new baseline, collapse of the Kuwait assumption, winners and losers. Read.
Brent crude above $100: geopolitical premium and risks of Hormuz
Brent crude holds above $100 despite rumors of a US-Iran truce. Market analysis, insurance crisis, hidden sanctions, and new global logistics rules. Read.
Risk of global recession: OECD forecast 2026
OECD lowered growth forecast to 2.8% and warned of recession risk due to Middle East conflict. Analysis of consequences for investors and markets. Read.
IRGC threatens new fronts: Bab el-Mandeb and oil prices
Iran through the Houthis is ready to block Bab el-Mandeb. A blow to Saudi Arabian oil, risks for Europe and price growth up to $100. Analysis of the threat and consequences.
Pentagon will resume hostilities against Iran if negotiations fail
Analysis: Hegseth's threat is a deal insurance, not escalation. Impact on oil, gold, and markets. Read the 30-90 day forecast.
Reserve Bank of India keeps rate: impact of oil and rupee
Analysis of RBI's decision to keep rate at 5.25% amid US-Iran talks. Risks for rupee, inflation, and emerging markets. Read details.
US strike on Iranian drone facility: analysis and forecasts
Analysis of the limited US strike on a drone control station in Bandar Abbas: why there will be no war, impact on oil, gold and markets. Read forecasts for 30 and 90 days.
USD exchange rate of the Central Bank of the Russian Federation 70.9 rubles: analysis and forecast
The official dollar exchange rate from the Central Bank of the Russian Federation fell to 70.9 rubles. Analysis of the reasons for the ruble's strengthening, consequences for the budget, and forecast for 30-90 days. Read more.
Iran warning shots Strait of Hormuz: insurance collapse
Iran fired warning shots in the Strait of Hormuz. How insurance collapse killed shipping, Brent oil rise and hidden triggers for markets. Read analysis.
Iran shot down US MQ-9 drone: escalation in the Gulf
Iran shot down MQ-9 Reaper and fired at F-35 after US strikes. Incident details, drone cyber hack, impact on oil, and escalation forecast. Read analysis.
Strait of Hormuz: Rubio's threat and market consequences
Marco Rubio threatened to open the Strait of Hormuz 'one way or another'. Analysis of the impact on oil, gas, the dollar, and the global economy. Forecast for investors.
Brent crude below $95: reasons for the drop and forecast
Analysis of Brent crude falling below $95 for the first time in a month. The role of the US-Iran deal, real reasons for the decline, forecast to $78-82. Read details.
European markets rose: impact of US-Iran negotiations | Analysis
Analysis of the rise in European stock indices amid progress in US-Iran negotiations. Oil decline, capital shift to stocks, forecast for DAX and Brent. Read more.
Negotiations with Iran: Progress or Deadlock? Rubio's Analysis
Analysis of Rubio's statements on progress in negotiations with Iran. Disagreements over uranium and the Strait of Hormuz. Brent oil forecast. Read more.
Brent oil prices $105: analysis of the jump and forecast
Why Brent jumped to $105 per barrel: structural shift, Strait of Hormuz risks, IEA deficit, and 30-90 day forecast. Read the full analysis.
Russian Federation Budget: oil price $59 vs $65 from Central Bank — analysis
Why the government sets oil at $59 when the Central Bank forecasts $65. Breakdown of the Ministry of Finance's hidden scenarios, inflation at 5.2%, and consequences for the budget. Read insider analysis.
Brent oil price fell below $102: reasons for the drop
Analysis of Brent oil collapse below $102 per barrel: OPEC+ breakup, non-cartel production growth, and China demand decline. Get price forecast for 30 and 90 days.
Brent oil at $106: JP Morgan allows rise to $200
Brent exceeded $106, and J.P. Morgan forecasts a jump to $150-200 with a deficit of 15 million barrels. Find out why global reserves will run out by the end of May and how to escape from 'oil shock 3.0'.
Iran opens Strait of Hormuz: impact on oil and prices
Iran opens Strait of Hormuz for ships. How this will lower oil prices and affect everyone's economy. Details and analysis.
Oil prices fall after ceasefire in Middle East
How the Israel-Lebanon ceasefire affects oil markets and the economy. Learn the latest data and forecasts.
US seizure of Iranian tanker and rise in oil prices: impact on the world
How the US seizure of an Iranian tanker raised oil prices and what it means for the economy and ordinary people. Explained in simple terms.
Oil prices fall due to US-Iran negotiations
Oil prices have declined amid hopes for peace talks. How this affects the global economy and prices for everyone.