A Strategic Resource for Commodity Investors

Author: Georgia Shumway

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Georgia Shumway

Commodities Daily Update

Commodity markets continued to be driven by geopolitical developments in the Middle East as investors weighed the possibility of a temporary ceasefire against the ongoing

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Commodities Daily Update

Commodity markets remained firmly focused on geopolitical developments heading into the weekend, with energy once again leading the broader commodity complex higher while metals delivered

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Commodities Daily Update

Commodity markets remained driven by escalating geopolitical tensions in the Middle East, although trading was more measured following the sharp rally seen earlier in the

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Commodities Daily Update

Commodity markets remained driven by geopolitical developments and shifting macroeconomic expectations as escalating conflict in the Middle East continued to support energy prices while softer-than-expected

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Commodities Daily Update

Commodity markets opened Tuesday with investors focused on two major catalysts: the release of June U.S. Consumer Price Index (CPI) data and renewed geopolitical tensions

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Commodities Daily Update

Commodity markets ended the week with mixed performance as investors continued to balance escalating geopolitical tensions in the Middle East against inflation concerns and evolving

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Commodities Daily Update

Commodity markets remained volatile Thursday as investors continued to navigate heightened geopolitical tensions in the Middle East, evolving supply expectations, and the outlook for interest

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Commodities Daily Update

Commodity markets came under pressure Wednesday as geopolitical tensions escalated sharply following renewed military action between the U.S. and Iran. Energy prices surged on concerns

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Commodities Daily Update

Commodity markets traded with a cautious tone Tuesday as investors weighed renewed geopolitical tensions in the Middle East against ongoing inflation concerns and the outlook

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Commodities Daily Update

Commodity markets began the week with a mixed tone as investors balanced expectations for future central bank policy, geopolitical developments, and evolving global supply trends.

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