- Energy Wrap: Mixed Signals - Jan 26Oil markets faced conflicting forces today as trading houses re-enter Venezuelan supply while crude prices eased on excess global output. Renewables and EV infrastructure showed momentum, leaving investors with mixed signals heading into tomorrow.
- Energy Sector Momentum Builds - Jan 26European governments pledged 100 GW of cross-border wind capacity while China opened lithium futures and Turkey brought its first major solar-plus-storage project online. Read what this means for your energy exposure today.
- Energy Sector Mixed Signals - Jan 25Today’s energy headlines show a split market: fossil fuel headwinds and policy shifts versus steady progress on electrification and grid projects. Read what matters for your portfolio heading into Jan 26.
- Energy Sector Outlook: Policy Shifts and Tech Momentum - Jan 25U.S. clean-energy loan rollbacks have grabbed headlines, but electrified trucks, battery innovation and signs of oil-market stabilization are keeping the sector dynamic. Heading into the next trading week, investors should weigh policy risk against durable demand and technology gains.
- Energy Sector Snapshot - Jan 24A mix of demand strength and policy shifts set the tone for energy heading into the long weekend. Big EV truck sales, oil risk premium gains, and solar+storage focus offer selective opportunities.
- Energy Sector: EV Funds and Tech Momentum - Jan 24A federal court ordered $5 billion in NEVI funds released, while Ford and ChargePoint roll out new EV products and deployments. Oil market headlines and solar innovation round out mixed but constructive news.
- Energy Momentum: North Sea Wind & Storage - Jan 23A nine-nation North Sea wind pact and new grid-scale battery capacity drove today's energy headlines. You should watch financing signals in storage and geopolitics for near-term market moves.
- Energy Snapshot: Renewables and Oil Moves - Jan 23Oil prices ticked higher and a Norway gas find boosts supply hopes while renewables get policy and product tailwinds. Read what matters for your energy positions today.
- Energy Prices Slip on Supply Surge - Jan 22Oil and diesel softened today as rising Russian and Venezuelan flows eased a tight market, while EV and trade news offered mixed longer-term signals. Read what moved markets and what to watch next.
- Energy Sector Sees Renewables, LNG Gains - Jan 22Record LNG flows to China and new project start-ups in Nigeria and India are driving momentum across gas and renewables. Investors should watch LNG legal rulings, solar builds and near-term oil inventory data.
- Energy Sector: Renewables Breakthrough - Jan 21Europe's wind and solar overtook fossil fuels in 2025 and Noon Energy proved 100+ hour storage, while policy and capital flows — from the UK to Kenya — point to accelerating energy transition.
- Energy Sector: Mixed Signals on Supply, Demand - Jan 21A near-term LNG supply surge and higher Norway gas output threaten price pressure, while Japan's nuclear restart and a big rare-earth acquisition provide counterweight. Read what you should watch today.
- Energy Sector Gains on EV, Supply Shifts - Jan 20Today’s energy news showed momentum in electrification and supply diversification, from new DC fast chargers in New York to EU moves on rare earths. Oil prices were firmer on Black Sea risks.
- Energy Markets Move: Oil, LNG and Solar - Jan 20China takes its last sanctioned Venezuelan cargoes as LNG demand ticks up and rig counts rise. Solar manufacturing and capacity gains add a longer-term tailwind for the sector.
- Energy Sector Evening Wrap - Jan 19Geopolitics and policy set the tone for energy heading into the long weekend. LNG faces political risk while U.S. policy leans on gas and coal, and industrial decarbonization shows practical progress.
- Energy Sector Momentum, Jan 19Domestic lithium refining, a potential Rio-Glencore mega-deal, and stronger Guyana output headline an upbeat energy run. Read what you should watch while U.S. markets are closed for Jan 19.
- Energy Sector Mixed Signals - Jan 18 WrapTesla launched the U.S.'s largest lithium refinery, boosting domestic EV supply hopes, while Guyana's oil push gains tailwinds. A new UK report warns net zero could cost £7.6 trillion, tempering optimism.
- Energy Faces Glut, Prices Slide - Jan 18Crude retreated after a geopolitical-driven spike as analysts say supply now exceeds demand. Goldman Sachs cut its 2026 Brent outlook, leaving oil stocks exposed to downside today.
- Energy Outlook: Mixed Signals - Jan 17Today’s energy news mixes investment momentum with regional supply risk. Egypt sealed $1.8B in renewable deals, Brazil moves to unclog gas bottlenecks, and Cuba faces a worsening fuel shortfall.
- Energy Sector Mixed Signals - Jan 16Today’s energy tape delivered mixed signals: infrastructure and investment opportunities in Brazil and Venezuela sit alongside an inventory build, a refinery shutdown at Valero ($VLO) and macro risk warnings. Investors should weigh near-term price pressure against medium‑term supply catalysts.
- Energy Update: Oil Slips, Majors Hold — Jan 15Oil fell overnight and policy-driven Venezuelan sales add supply pressure, yet supermajors outperformed and TotalEnergies aims to restart a $20B LNG project. BP’s impairment and Permian headwinds make selectivity important.
- Energy Mixed Signals After Geopolitics - Jan 14Geopolitical flare-ups lifted oil above $65, but a presidential de-escalation signal and canceled North Sea asset sales moderated gains. Investors face mixed supply risks, long rebuild timelines for Venezuela, and a fresh U.S. gasoline forecast.
- Energy: BP Hit, Renewables Gain - Jan 14BP warns of up to $5bn impairments tied to transition assets while China’s coal imports fall and renewables/storage growth accelerates. Investors should weigh near‑term write‑downs against long‑term demand shifts.
- Energy Momentum Builds — Jan 13 WrapNorway granted 57 new licenses and China advanced Galkynysh Phase Four, underpinning supply momentum while gas futures rebounded. Shipping security risks and a major midstream acquisition add contrast.
- Energy Markets Mixed After Geopolitics, Supply - Jan 12Oil spiked on Iran tensions while U.S. policy moves and a surge in North American rigs point to growing supply. Investors face mixed signals: near-term risk premiums versus longer-term downward pressure.
- Energy Outlook: Geopolitics vs. Renewables - Jan 12Geopolitical flare-ups and fresh upstream deals set the tone for energy markets, while U.S. policy shifts raise uncertainty for offshore wind. Investors should watch rare-earth moves, OPEC filings and regional tensions today.
- Energy Sector: Renewables Gain Traction - Jan 11Renewables and storage made headlines today as Somalia outlines a push into wind and solar while Uniper secures seven-year tolling rights for a German battery. These moves highlight growing commercial opportunity across emerging markets and European grid-scale storage.
- Energy Sector Sees Price Support, Nuclear Push - Jan 9Oil got a lift from Iran unrest and a steep drop in Russian output while the US Army advanced microreactors and China doubled down on renewables. Investors face near-term price support and longer-term structural change.
- Energy Sector: Demand Surge & Major Deals - Jan 9India’s grid saw a December demand record, Saudi price cuts drove a 9M-barrel jump in Asian orders, and Equinor and Iberdrola announced multi‑billion deals. Key project funding and interconnector plans follow.
- Energy Wrap: Oil Gains, Grid Strain — Jan 8Oil markets strengthened after short covering and a nearly 4M-barrel U.S. crude draw, while grid strain from hyperscale data centers and New York’s nuclear push highlight shifting demand and policy. Investors should watch upcoming OPEC talks, regional grid investment plans, and utility/nuclear names.
- Energy Supply, Geopolitics in Focus - Jan 8Overnight moves put supply and geopolitics front and center for energy investors. WTI slipped after U.S. marketed Venezuelan crude while China’s rare-earth export ban raises downstream risks for clean-energy supply chains.
- Energy Wrap: Venezuela, Green Hydrogen & Oil - Jan 7U.S. moves to market Venezuelan crude pushed oil prices lower while seizures and geopolitical fallout raised volatility. A green-hydrogen breakthrough and sector AI debate set the stage for trading tomorrow.
- Energy: Global Supply Shifts & Policy Risk - Jan 7Refinery closures, a Nigerian production shortfall and stalled emissions progress in Germany are reshaping supply and policy risk this morning. Investors should watch Valero's import plans, Nigeria rig counts and upcoming drill results in the Otway Basin.
- Energy: Venezuela Oil Turmoil & Gas Drop - Jan 6Venezuelan assets and exports dominated markets Jan 6: Britain keeps $4.8B of Caracas gold, Chevron continues U.S. flows as China shuns Venezuelan crude, and Henry Hub spot gas crashes.
- Energy Sector Faces Supply Glut Amid Geopolitical Tensions - Jan 6Oil prices dip as Venezuelan output rises and geopolitical tensions persist. Investors should focus on supply dynamics and upcoming developments in the energy sector.
- Energy Markets React to Geopolitical Pressures - Jan 5Today's energy market saw oil prices rise amid geopolitical tensions, while Libya's potential oil boom looms large. Investors should stay alert for key developments.