Daily Trading Update
May 11, 2026: Energy and Metals Start the Week on Geopolitical and Supply Signals Commodities are opening the week with a risk-on tone in
May 11, 2026: Energy and Metals Start the Week on Geopolitical and Supply Signals Commodities are opening the week with a risk-on tone in
COMMENTARY: The S&P 500 advanced 2.33% for the week ending May 8, 2026, as investors responded positively to improving risk sentiment and stronger-than-expected corporate earnings
Market Recap — May 8, 2026 Commodity markets steady as geopolitical tensions and supply disruptions dominate the narrative Energy and metals markets opened the day
Commodity Market Recap – May 5, 2026 Commodity markets remained highly active to start the week as investors continued to monitor escalating geopolitical tensions in
Commodity Market Recap – May 4, 2026 Commodity markets began the week with mixed performance as investors balanced strong energy prices against softer, precious metals
Commodity Market Recap – May 1, 2026 Commodity markets remained active to begin May as investors balanced strong equity market momentum, persistent inflation concerns, and
Commodity Markets Recap – April 29, 2026 Commodity markets remain tightly range-bound as investors balance geopolitical tensions, central bank uncertainty, and strong underlying demand trends.
Commodity Market Recap – April 28, 2026 Commodity markets are seeing heightened volatility to start the week, driven largely by geopolitical tensions in the Middle
COMMENTARY The S&P 500 advanced 0.55% for the week ending April 24, 2026, supported in part by a sharp rebound across global commodities markets. Energy
Commodity Market Recap – April 20, 2026 Commodity markets are starting the week with heightened volatility as geopolitical tensions in the Middle East re-escalate, reversing
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