A Strategic Resource for Commodity Investors

Author: Georgia Shumway

Picture of Georgia Shumway

Georgia Shumway

Commodities Daily Update

Commodity markets traded cautiously ahead of this morning’s closely watched U.S. employment report, which investors hope will provide further insight into the Federal Reserve’s path

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Commodities Daily Update

Commodity markets began the third quarter on a cautious note as investors paused following a strong second quarter for equities. Markets are turning their attention

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Commodities Daily Update

Commodity markets began the final trading day of June with a cautiously optimistic tone as investors balanced easing geopolitical tensions with a busy slate of

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Commodities Daily Update

Commodity markets opened the new week with a cautious tone as investors weighed renewed geopolitical tensions in the Middle East against improving global supply conditions

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Commodities Daily Update

Commodity markets ended the week with investors balancing easing geopolitical tensions against ongoing supply concerns and expectations for future interest rate policy. Energy markets pulled

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Commodities Daily Update

Commodity markets remained under pressure as investors continued to digest a stronger U.S. dollar, expectations for higher interest rates, and easing geopolitical risks in the

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Commodities Daily Update

Commodity markets remain caught between competing macro forces: easing geopolitical concerns in the Middle East, a stronger U.S. dollar, and ongoing uncertainty surrounding global economic

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Commodities Daily Update

Commodity markets traded with a cautious tone on June 23 as investors continued to monitor progress in U.S.-Iran negotiations, Federal Reserve policy expectations, and signs

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Commodities Daily Update

Commodity markets began the week with a cautious tone as investors weighed improving prospects for U.S.-Iran diplomacy against lingering geopolitical uncertainty, inflation concerns, and evolving

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Commodities Daily Update

Commodity markets continue to navigate a complex mix of central bank policy, geopolitical developments, and evolving supply-demand dynamics. Investors remain focused on the Federal Reserve’s

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