- Energy Sector: Renewables Rise, Oil Risks Linger - Mar 18Renewables and storage projects pushed forward overnight while Middle East and Libya disruptions kept oil market risk elevated. You’ll want to track Hormuz traffic, China’s reserve moves, and several big-scale clean-energy builds.
- Energy Sector Under Pressure as Prices Spike - Mar 17Geopolitical shocks from the Iran war pushed Brent past $100 and sent gasoline and diesel prices higher, prompting policy moves and fresh supply risk. Venture Global secured $8.6B for LNG expansion while battery tech advances offer longer-term relief.
- Energy Sector: Storage, Batteries & Risks - Mar 17Battery investment and distributed storage products dominated overnight headlines, led by a $4.3B Tesla-LG plant and new plug‑in and retrofit battery devices. Geopolitical oil and gas incidents add risk, but the transition story is building momentum.
- Energy Sector Mix: Wind, Nuclear, Grid Costs - Mar 16Vineyard Wind 1 finished construction and a novel underground nuclear project broke ground, while grid funding questions, higher solar-module price forecasts and a drop in rigs temper enthusiasm. Read the evening wrap for what moved and what to watch tomorrow.
- Energy Markets: Middle East Risk, Solar Gains - Mar 16Geopolitical attacks pushed oil above $100 and halted Fujairah loadings, while renewable wins from rooftop solar in Samoa to a 10 GW plant in India highlight long-term growth. Read what investors should watch today.
- Energy Sector: Geopolitics Lift Prices - Mar 15A Middle East conflict has driven Brent crude above $100 and reshaped near-term supply dynamics. Renewables and storage wins offer selective opportunities as you weigh risk and upside heading into Mar 16.
- Energy Sector Mixed Signals - Mar 14Geopolitical risks pushed Brent above $100 while jet fuel spikes threaten travel costs. A surprise Zimbabwe lithium ban rattled battery supply chains, even as EV milestones and hydrogen financing advance.
- Energy Sector: Geopolitics vs Clean Tech - Mar 14Geopolitical strikes pushed Brent above $100 heading into the long weekend while clean-energy moves — from EV lease deals to hydrogen financing — offer offsetting opportunities. Read what you should watch next.
- Energy Markets: Oil Shock and Renewables Mix - Mar 13A record IEA intervention and Brent topping $100 dominated today, even as a surprise EIA stock build and Bank of America caution tempered the rally. Renewables saw funding and product wins, but Chinese wafer prices fell.
- Energy: Renewables Gain, EV Slump & Oil Moves Mar 13China’s EV slump and lower polysilicon prices are clashing with gains in renewable tech, US rare earth processing, and shifting oil flows. Read what you should watch today in energy markets.
- Energy Wrap: Geopolitics and Clean Tech - Mar 12Geopolitical shocks pushed fuel prices higher today while policy moves and clean-energy deals offered balancing forces. Read what moved markets, who stands to gain, and what you should watch next.
- Energy Mixed on Geopolitics & Renewables - Mar 12Middle East supply shocks and a large SPR release are clashing with fresh renewables deals and grid resilience investments. Read what matters for energy stocks and what you should watch today.
- Energy Sector Mixed Signals - Mar 11 WrapIEA's record 400M-barrel release and China stockpiles ease supply stress even as geopolitical risks stoke inflation concerns. New storage tech and pipeline revival add nuance for investors.
- Energy Sector: Renewables Rise, Supply Risk Lingers - Mar 11Global energy markets opened with a stark contrast: major renewables projects and technology gains versus Middle East supply shocks that have cut LNG flows and disrupted oil shipping. Today investors should weigh near-term price volatility against long-term clean energy growth.
- Energy Sector: Supply Shocks vs Renewables - Mar 10Supply disruptions and deeper Gulf cuts lifted oil risk premiums today while renewables and EV advances kept longer term disruption front of mind. Read what moved markets and what to watch next.
- Energy Brief: China Demand, BESS Push - Mar 10China's crude imports jumped 15.8%, Aramco raised returns even as profits fell, and infrastructure funds are pouring capital into European battery storage. Here's what you need to know this morning.
- Energy Sector Mixed Signals - Mar 9Renewables and battery advances clashed with renewed geopolitical oil risk today. Investors saw big tech progress in storage and EV charging, while oil policy and Iran developments kept markets cautious.
- Energy Markets: Solar Strength, Oil Disruption - Mar 9Solar demand and storage product launches are powering momentum in renewables, even as Gulf shipping chaos and G7 plans to release oil create volatility in crude markets. Read what to watch today.
- Energy Sector: Renewables, Oil Rally - Mar 8Renewables and oil both grabbed headlines over the weekend, with major advances in solar, battery storage and electric equipment alongside a steep crude rally. Here’s what happened and what you should watch heading into Monday.
- Energy Sector: Oil Rally and Storage Momentum - Mar 8Oil jumped into the long weekend while storage and distributed resources picked up pace. Read what happened over the break, which names moved, and the catalysts you should track heading into Monday.
- Energy Rally and Renewables Momentum - Mar 7Oil surged into the weekend while renewable and storage technologies showed broad progress. Petrobras topped estimates and wind and VPP deployments gained traction, shaping near-term energy opportunities.
- Energy Markets: Rally and Risks - Mar 7Crude rallied into the long weekend while renewables and storage saw positive momentum. Geopolitical and regulatory risks keep a lid on conviction, so stay selective and watch catalysts.
- Energy Wrap-Up: Oil Spike, Storage Wins - Mar 6WTI surged 14% and U.S. rig counts ticked up as storage tech and BYD drew positive attention. Geopolitical risk and pump-price pain add uncertainty for investors heading into next week.
- Energy Sector Reacts to Hormuz Shock - Mar 6A near‑halt in Strait of Hormuz traffic sent HSFO prices surging and tightened bunker markets in Asia, even as battery storage and solar hardware scored wins. Here’s what you need to know today.
- Energy Roundup: Renewables vs. Geopolitics - Mar 5Today's energy tape showed a split between innovation and risk. Renewables and RNG deals advanced, while Middle East tensions and a zero-bid Alaska lease kept oil markets on edge.
- Energy Outlook: Geopolitics vs Renewables - Mar 5Geopolitical tensions are reshaping oil and gas flows while solar and grid tech see fresh momentum. Read what moved markets overnight and the catalysts you should watch today.
- Energy Volatility from Hormuz Risk - Mar 4Geopolitical strikes around the Strait of Hormuz sent European gas prices spiking while attacks and regional conflict rattled oil flows. You should expect heightened volatility and watch LNG permits, rig counts, and renewable supply trends.
- Energy Market Rally on Tight Supply - Mar 4Tight supply and halted shipments through the Strait of Hormuz pushed oil and LNG prices sharply higher overnight. Goldman raised Q2 Brent and WTI forecasts as traders locked in contracts and storage sites filled fast.
- Energy Outlook: Geopolitics and Transition - Mar 3Today’s energy headlines mixed strategic gains and fresh supply risks. Chevron’s Iraq deals and renewables wins sit alongside a tanker blast and Fujairah fire that keep volatility front and center.
- Energy Snapshot: Renewables, M&A and Geopolitics - Mar 3Renewables and big utility deals sit alongside rising shipping costs and Middle East tensions in this morning's energy briefing. Read what matters for your portfolio and the key catalysts to watch.
- Energy Stocks Rally on Supply Shock, M&A - Mar 2Oil and gas prices jumped after Middle East attacks and a Qatar LNG shutdown, while the $58B Devon–Coterra merger and Talos appraisal plans boosted upstream sentiment. Renewables face grid limits even as EV battery advances keep long-term momentum intact.
- Energy Sector: Oil Spike and Renewables - Mar 2Middle East escalation sent diesel up 17% and pushed analysts to warn oil could top $100. Renewables deals and storage tech progress offer a selective growth offset for long-term investors.
- Energy Sector: Clean-Energy Push and Risks - Mar 1Gulf states ramp up multibillion-dollar clean-energy plans while Canada builds rare earth capacity and fusion research advances. Short-term supply and company-level issues keep risks elevated heading into Mar 2.
- Energy Sector: Geopolitics, Storage & EV Wins - Mar 1Geopolitical flareups pushed oil higher heading into the long weekend even as big gains in storage, EV trucking economics and large-scale solar growth point to longer-term momentum. Read what to watch when markets reopen on Mar 2.
- Energy Sector: Mixed Signals - Feb 28Renewable and storage wins meet Middle East risk. China nears a giant pumped-hydro build while fleets save big with electric semis, even as Hormuz tensions push oil risk higher. Ahead of Monday, read what matters and what you should watch.
- Energy Outlook: Iran Strikes, Solar Surge - Feb 28A coordinated U.S.-Israel strike on Iran sent risk premiums into oil markets heading into the long weekend, while solar, batteries and hydrogen projects show rapid structural growth. Read what you should watch next.
- Energy Momentum: Renewables, Hydrogen & Oil - Feb 27Corporate buybacks, big clean-energy builds and tighter physical oil markets drove positive headlines today. Projects from hydrogen hubs to 1,036 km EVs underline demand and investment themes investors should track.
- Energy Snapshot: Mixed Signals Feb 27Today’s energy news mixes big supply wins, policy shifts and supply-chain strain. Aramco starts gas at Jafurah and BYD teases a 1,500 kW charger while Chinese polysilicon keeps prices under pressure.
- Energy Sector Momentum on Feb 26Renewables and domestic supply-chain moves set the tone as DOE funding and tech advances boost project economics. BP's shale push and grid cost pressures add nuance for investors.
- Energy Sector: Deals, Grid Headaches and Supply Signals - Feb 26M&A and industrial policy headline the morning as ENGIE agrees to a $14B UK deal and the US and allies pledge rare earth funding. At the same time, grid connection backlogs and rising Mideast exports keep risks in focus.
- Energy Sector: Grid Strain, Solar Gains - Feb 25Today’s energy headlines showed a tug of war between grid stress and renewable momentum. Expect policy pressure on tech power users, polysilicon consolidation, and new PV standards to shape near-term winners and losers.
- Energy Markets: Tariffs, Tech & Oil Moves - Feb 25U.S. slaps a 126% tariff on Indian solar panels while breakthroughs in solar efficiency and factory energy recovery offer upside. Oil flows shift as India pivots supplies. What should you watch today?
- Energy Sector Sees Renewables, Oil Wins - Feb 24Renewables and oil headlines led markets today as utility-scale innovation, an Aramco contract, and EV adoption moves shaped the day's flow. Read what mattered and what you should watch next.
- Energy Markets Morning Brief - Feb 24Today’s Energy briefing balances renewables expansion and new LNG routes with persistent oil-supply and geopolitical risks. Read what matters for your positions and the near-term catalysts.
- Energy Sector: Tech, Grid Upgrades & CCUS - Feb 23Today’s energy news shows accelerating investment in grid upgrades, CCUS expansion in India, and new charging and drilling tech. Utilities face storm-related outages, but long-term spending and tech adoption are the dominant themes.
- Energy News: Oil Forecasts Up, Storage Deals, Feb 23Goldman raises year-end oil targets while Europe ramps LNG imports and ESS Tech expands long-duration storage. You’ll want to watch refiners, majors and storage names today.
- Energy Sector: Clean Tech & Oil Updates - Feb 22Policy support for U.S. nuclear, NIO's battery-swap record and cheaper electric trucks keep momentum in the energy transition. YPF, Superior and Big Tech hiring add capital and demand signals.
- Energy Markets Mixed Signals - Feb 22Oil held near multi-month highs while copper cooled off and renewables kept gaining traction. Read what mattered over the weekend and what you should watch before markets reopen on Feb 23.
- Energy Markets & Tech Wrap - Feb 21Oil prices held near six-month highs and producers stepped up spending plans while fleet electrification and hydrogen projects gained momentum. Read what this means for investors heading into Feb 23.
- Energy: Geothermal, EV Fleets & Oil Moves - Feb 21Clean-energy deployment and fleet electrification accelerated this week while crude held near six-month highs. Read what happened, why it matters to your portfolio, and what to watch next.