A Strategic Resource for Commodity Investors

Author: Georgia Shumway

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Georgia Shumway

Commodities Daily Update

Commodity markets entered Wednesday with a cautious tone as investors balanced easing geopolitical risks in the Middle East against a busy economic calendar that includes

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Commodities Daily Update

Commodity markets opened the day with investors balancing geopolitical developments, central bank expectations, and ongoing supply concerns across both the energy and metals sectors. Equity

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Commodities Daily Update

Commodity markets are ending the week with investors continuing to balance geopolitical risks against a shifting interest rate outlook. Energy prices remain elevated as tensions

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Commodities Daily Update

Commodity markets remained active as geopolitical developments, central bank expectations, and supply concerns continued to shape investor sentiment. Energy prices extended their recent rally amid

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Commodities Daily Update

Commodity markets remained firmly in focus as geopolitical developments, supply disruptions, and macroeconomic uncertainty continued to drive investor sentiment. Crude oil extended its recent rally

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Commodities Daily Update

Commodity markets continued to reflect a mix of geopolitical risk, supply concerns, and evolving macroeconomic expectations. Energy markets remained supported by escalating tensions in the

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Commodities Daily Update

Commodity markets are ending the week with investors balancing easing inflation concerns against ongoing geopolitical tensions and mixed global demand signals. Energy markets remain supported

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Commodities Daily Update

Commodity markets opened Thursday with a cautious tone as investors shifted their focus from yesterday’s inflation report to today’s Producer Price Index (PPI) release for

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Commodities Daily Update

Commodity markets were mixed heading into today’s session as investors balanced easing geopolitical headlines with anticipation of this morning’s U.S. Consumer Price Index (CPI) report.

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Commodities Daily Update

Commodity markets remain in focus as investors continue to balance geopolitical developments, supply disruptions, and upcoming U.S. inflation data. Energy markets are digesting recent volatility

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