Investor topic hub
Energy
Oil, gas, power, fuels, grids, energy policy, and commodity shocks that can affect inflation, margins, and consumers.
Oil, gas, and fuel price pressure
Supply disruption and OPEC decisions
Utility, grid, and power-market stress
Read the market context guide
UK businesses are increasingly turning to solar power installations to cut escalating energy bills and gain financial stability.
This week's economic focus is on the FOMC minutes, jobless claims, and global bond yields.
The Royal Observatory Greenwich warns that instant AI answers risk trivializing human intelligence by diminishing the habits of questioning and evaluation.
Oil prices increased as President Trump issued a warning to Iran regarding stalled peace talks.
The House approved a bill for year-round E15 ethanol fuel blends, potentially lowering gas prices and aiding farmers.
Markets are navigating a 'Dirty Risk-On' regime, influenced by inflation, oil volatility, and Fed policy.
US gasoline consumption declined in 2025 as vehicle miles traveled increased, driven by rising fuel efficiency. The EIA expects this trend to continue through 2026 and 2027.
Geopolitical tensions and evolving monetary policy are driving USD/JPY and DAX movements.
The upcoming Trump-Xi summit in Beijing may see 'no news' as the most bullish scenario for markets.
Investor sentiment for the Nasdaq 100 has shifted to a slight buy bias as markets digest recent inflation data, geopolitical concerns, and await key...