Commodities

Source intel on energy, metals, and raw materials markets – plus more

The week in markets
  • 22 hours ago

A turbulent week in markets as oil surged back above $100, inflation fears reignited, and markets whipsawed between escalation risk and uneasy calm.

Balanced Fund: War and commodity moves define a volatile quarter
  • 22 hours ago

Portfolio manager Rory Kutisker Jacobson unpacks...

Energy shock hits outlook - Investment Clock economic update
  • 22 hours ago

The Iran conflict has injected a substantial amount of uncertainty into the outlook. Crudely, growth will be weaker than previously expected and inflation stronger.

Emerging Market Debt Commentary: Q1 2026
  • 16 Apr 2026

Geopolitical tensions and surging energy prices weighed on Q1 EMD returns as heightened volatility amid Middle East strikes drove a reversal of earlier gains.

Pan African Resources: The golden goose?
  • 16 Apr 2026

Locally listed gold miner Pan African Resources has...

The energy test for European sectors
  • 16 Apr 2026

This article assesses how the energy shock may reshape European sectors, from energy and utilities to transport, banks and chemicals, under a prolonged...

Asia and the energy shock
  • 16 Apr 2026

This Asia and the energy shock analysis shows how oil and gas price spikes affect inflation, fiscal balances and vulnerable sectors across Asian economies.

Gold: a correction driven by positioning, not fundamentals
  • 16 Apr 2026

We investigate the main drivers of the recent gold movements and reassess the outlook for the precious metal.

Cross Asset Investment Strategy - April 2026
  • 16 Apr 2026

What the energy shock means for European equity sectors, Asian economies and what has been driving gold movements.