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Vol. 1  ·  No. 689
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Coverage: wti
344articles
Apr 1, 2026first coverage
Oct 3, 2026most recent
Tax & Wealth (10)Geopolitical (92)Economy (16)Daily Thread (87)Behavioural (35)Market (87)Weekend Edition (14)Month at a Glance (3)
Daily Thread
Warsh and the Bank of Canada Both Cited a CPI Print Built on a Ceasefire That Had Already Ended
June's inflation cooling to 3.5 percent, the number both central banks leaned on Wednesday, was driven by a ceasefire-era gasoline decline that ended July 8. WTI has already priced the difference, posting its largest single-session jump of the disruption six days later.
Jul 15, 2026 6 min
Market
The TSX Traded a Narrower Range Than Wall Street on Both Sides of This Week's Selloff and Rebound
The S&P 500 dropped 0.79% Monday and Nasdaq fell 1.55%, then both rebounded Tuesday alongside an IBM earnings collapse and a semiconductor whipsaw. The TSX Composite moved less than a point of range either day, and its sector mix explains why.
Jul 15, 2026 7 min
Geopolitical
Iran's Threat Just Moved From Controlling the Strait to Threatening the Whole Gulf's Oil
For four months, Iran's leverage was a shipping lane. Wednesday's threat to halt energy exports from the entire region, paired with a strike that hit actual production infrastructure, changes the mechanism connecting this war to Canadian portfolios, even though the base case has not changed yet.
Jul 15, 2026 8 min
Economy
Two Central Banks Report to the Public This Morning, and They Are Reading the Same Oil Shock Differently
The Bank of Canada announces at 9:45 a.m. Eastern with markets pricing a near-certain hold. Fifteen minutes later, Fed Chair Kevin Warsh faces the Senate to explain a committee that grew more hawkish in June even as US inflation cooled. Both are being asked to price the same barrel of oil.
Jul 15, 2026 8 min
Behavioural
Investors Have Stopped Flinching at the Hormuz War, and the Data Proves It
Four months of repeated escalation have retrained how markets price this conflict, and the VIX's shrinking reactions show exactly when investors stopped treating each new headline as news.
Jul 15, 2026 7 min
Daily Thread
Today Split Monday's Hormuz Shock Into Two Separate Risks, and Only One of Them Got Resolved
Trump dropped the twenty percent Hormuz transit fee this afternoon. Fed Chair Kevin Warsh refused to call June's cooler inflation print mission accomplished. Gold's recovery of almost exactly Monday's loss shows which of those two stories it was actually pricing.
Jul 14, 2026 7 min
Market
Oil Jumped 9.6% Monday. The TSX Still Closed Lower.
Energy strength was not enough to offset financials and materials on Bay Street, and Tuesday's steeper losses are landing in Asia, where Kospi is down 3.2% while North American futures sit close to flat.
Jul 14, 2026 7 min
Geopolitical
Iran's Blockade Barely Touches Canadian Oil. The Toll on Everyone Else Might.
The naval blockade taking effect this afternoon targets Iranian ports specifically, but the mechanism that could sustain a lasting risk premium is Washington's 20% toll demand on the shipping Canada never sends through the strait in the first place.
Jul 14, 2026 7 min
Behavioural
Oil Jumped Five Percent Tuesday. Almost Nothing Else Moved.
A reinstated Hormuz blockade sent Brent crude sharply higher, but equities, bonds and the loonie priced in almost none of it, a pattern behavioural finance recognises as habituation rather than calm.
Jul 14, 2026 6 min
Daily Thread
A 20 Percent Toll Moved Oil More Than the Weekend's Strikes Did, and Gold Did Not Notice
Monday's announcement of a toll on Strait of Hormuz shipping produced a bigger crude move than four rounds of military strikes did this week, while gold barely reacted. The Federal Reserve's own report to Congress last Friday explains why the two are no longer separate stories.
Jul 13, 2026 7 min
Market
324 Points From a Record, the TSX Heads Into Its Busiest 48 Hours of the Summer
Friday's close left the index within 0.9% of its June 17 high. Tuesday's US inflation data, Wednesday's Bank of Canada decision, and Warsh's first Congressional testimony now land inside a single 48 hour window, against a backdrop of oil already up more than 4% Monday.
Jul 13, 2026 6 min
Geopolitical
Iran Hit Three US Allies at Once This Weekend. The Shipping Data Tells a More Measured Story Than the Rhetoric Does.
A fourth wave of US strikes and Iran's retaliation against Bahrain, Kuwait, and Jordan pushed Brent above 79 dollars Monday. Whether this is the escalation that finally sustains a Hormuz disruption or another cycle the market fades within weeks depends on data the headlines are not capturing.
Jul 13, 2026 6 min
Daily Thread
Employment Beat the Forecast by Nearly Double Today. The Bank of Canada's Path Did Not Move.
June's jobs report landed at 18,200, almost double the Street's forecast, and pulled unemployment down to 6.5%. Why the beat validated this morning's argument about recession psychology, and why it barely moved the Bank of Canada's July 15 calculus.
Jul 10, 2026 7 min
Market
The TSX Closed Near a Five-Week High. The War Had Little to Do With It.
The TSX gained 0.76% Thursday to 35,200, led by gold miners and the banks, even as the Iran conflict widened to two new countries. Why a U.S. chip rally and easing bond yields did the real work, and what a five-week, 613-point trading range says about Canadian equity exposure.
Jul 10, 2026 6 min
Geopolitical
The War Widened to Two New Countries. Oil Fell Anyway.
Iran's strikes reached Qatar and Jordan for the first time this week, yet WTI eased for a second straight day. Why the actual tail risk for Canadian energy exposure is not the headline count of countries involved, but a genuine halt in Hormuz shipping.
Jul 10, 2026 6 min
Daily Thread
The TSX Round Tripped in Two Days. The Bond Market Did Not.
Wednesday's escalation drove a synchronized selloff across equities, oil, and gold. By Thursday afternoon, four of those five moves had already reversed. The Government of Canada 10 year yield is the one that stayed put.
Jul 9, 2026 6 min
Showing 145–160 of 344 articles

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