HDQ
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
Oil Has Erased Roughly Half Its War Premium. The Fed's Hike Odds Just Climbed Anyway.
WTI's slide to $81.04 marks a genuine, diplomacy-driven retreat from July's highs, not a fading headline. In the same stretch, the probability of a Fed hike tomorrow rose instead of falling, and a same-day strike claim on Saudi Arabia's Hormuz bypass pipeline shows the tail risk the market is discounting never actually left.
Jul 28, 2026 6 min
Market
The TSX Gained 0.56% Monday While Oil Fell 8.7%. That Divergence Is the Trade.
WTI posted its sharpest single-session decline since February, yet the TSX Composite closed higher, lifted by easing bond yields that helped financials and rate-sensitive names outrun energy's drag. Wednesday's Fed decision determines which side of that divergence keeps winning.
Jul 28, 2026 6 min
Geopolitical
The Pipeline Built to Bypass Hormuz Risk Just Became a Target
Houthi forces claimed a strike on Saudi Arabia's East-West Pipeline, the route built to move crude around the Strait of Hormuz entirely, the same day Oman proposed a formal Hormuz shipping mechanism. The base case still points to de-escalation, but the tail risk just moved to different infrastructure.
Jul 28, 2026 7 min
Behavioural
Oil and Gold Fell Together Today. The Disposition Effect Explains Why Clients Are Still Holding Both.
WTI's third straight losing session dragged gold down with it Tuesday, ending Monday's brief decoupling. Research on the disposition effect predicts how clients who bought last week's peak will respond, and it is not by selling.
Jul 28, 2026 6 min
Daily Thread
Oil's Worst Session of the War Just Broke Its Five-Month Link to Gold
WTI fell more than eight per cent Monday, its sharpest single session drop since the Strait of Hormuz disruption began in February. Gold, which has traded as the same war premium trade for five months, barely moved. The Fed's Wednesday decision was already repriced by the gap between them.
Jul 27, 2026 6 min
Market
WTI Craters 7.5%. Nearly Every Other Major Asset Is Moving the Opposite Way.
Oil's sharpest single session drop in weeks is pulling gold, bonds, and equity futures in the same bullish direction for a different reason. The TSX Composite, which closed Friday at 35,369.10, faces its steepest test of the sector rotation this month when energy names open.
Jul 27, 2026 6 min
Geopolitical
The War Just Reached Saudi Arabia's Own Refineries. Oil Fell Anyway.
Houthi missiles struck two Aramco refining complexes Saturday, widening a war that had mostly stayed confined to Iran and its immediate coastline. Markets are pricing a different signal instead: a quiet pause between the United States and Iran that touches a far larger share of global oil supply.
Jul 27, 2026 7 min
Behavioural
The Attack Investors Saw Wasn't the One That Moved Oil This Morning
Houthi missiles struck two Saudi Aramco refineries Saturday, the first direct hit on the kingdom's oil infrastructure in four years. The bigger price move came from something with no pictures at all: a quiet, unannounced pause in US strikes on Iran.
Jul 27, 2026 6 min
Weekend Edition
Oil Surged Nine Percent This Week. The Canadian Dollar Fell Anyway, and September Explains Why.
Between Wednesday's TSX record and Friday's oil reversal, a bigger story took shape: the Federal Reserve and the Bank of Canada are now pulling in opposite directions, and a fifty percent tariff lands in the gap between their next two decisions.
Jul 25, 2026 8 min
Daily Thread
Oil Gave Back the Entire Brent-$100 Spike Today. The Bond Market Did Not Follow.
A third oil chokepoint opened overnight in Kazakhstan and WTI fell almost five percent anyway, on reports that Pakistan and China are trying to revive US-Iran talks. The ten year Treasury yield did not move off Thursday's cycle high, and that gap is the story heading into next week's Fed decision.
Jul 24, 2026 7 min
Market
Record High, Then a Bank-Led Reversal: Inside Thursday's TSX Split
The TSX fell 0.82% a day after a record close, as oil past $100 lifted energy but hit yield-sensitive banks. Energy and utilities were the only sectors to gain.
Jul 24, 2026 6 min
Geopolitical
The Houthis Just Opened a Second Chokepoint. Markets Are Not Pricing It Yet.
Two Saudi tankers struck in the Red Sea push Brent past $100 for the first time since May. The muted reaction across the TSX and gold suggests markets still treat this as tail risk, not the base case.
Jul 24, 2026 6 min
Daily Thread
This Morning's Tail Risk Just Struck a Saudi Tanker, and Gold Refused to Play Along
The Geopolitical desk this morning called a successful strike on a laden tanker the tail risk, not the base case. By early afternoon the Houthis had claimed exactly that, and gold's failure to rally on it is the tell that this has become an inflation story rather than a fear story.
Jul 23, 2026 6 min
Market
The Nasdaq Sold Off Before Tesla and Alphabet Even Reported. Then Both Missed.
The TSX closed at 35,578.04 on a battery metals and energy rally Wednesday, while Wall Street de-risked into two earnings reports that went on to confirm the worry.
Jul 23, 2026 6 min
Geopolitical
Saudi Arabia's Hormuz Workaround Just Became a Second Chokepoint Risk
Bab el-Mandeb traffic carrying Saudi crude surged more than tenfold this year as producers routed around Strait of Hormuz risk. A new Houthi blockade threat is closing that alternative just as Iran escalates attacks on the original chokepoint.
Jul 23, 2026 7 min
Economy
The Fed Odds Faded. The BoC's September Dilemma Didn't.
Market-implied odds of a July 29 Fed hike spiked past 46% and have since fallen under 17%, but oil is still climbing, and that leaves Governor Macklem facing the same inflation calculus with less certainty about what Washington does first.
Jul 23, 2026 6 min
Showing 113–128 of 344 articles

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