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Short-Term Outlook (1–3 Weeks)

Short-Term Outlook (1–3 Weeks)

Expected Regime

  • Range-bound trading
  • Headline-sensitive volatility
  • Oil-led macro moves

Key Catalysts

  • Hormuz reopening negotiations
  • Brent stability above/below $100
  • US Treasury yields
  • BoJ intervention probability
  • US inflation data

➡️ Macro sensitivity remains unusually concentrated around energy markets.