Canadian equities fell 2 % on March 19 as gold slides hit materials, while higher oil prices buoyed energy. Inflation easing and CUSMA talks add layers of market nuance.
Marathon Petroleum’s insider sale and refinery tech upgrades reveal how the company navigates rising gasoline prices, low‑carbon fuel goals, and storage gains.
OMV’s 2026 treasury‑share transfer and BGI listing delay reveal its focus on governance and capital‑management amid energy‑price volatility, offering investors a balanced view of the company’s future.
European equity markets fell amid Middle‑East tensions, with oil‑linked shares like TotalEnergies climbing while mining and real‑estate stocks slipped; central‑bank caution highlights the inflation‑risk ripple effect on global trade.
BP sells its Gelsenkirchen refinery to Klesch Group, a move that cuts high‑carbon exposure while boosting the buyer’s green‑hydrogen and digital‑optimisation plans. This shift signals BP’s focus on higher‑margin, low‑carbon assets amid tightening Eu…
ENI’s new Geng North & Gendalo‑Gendang gas projects in East Kalimantan strengthen its Southeast Asian portfolio, offering growth, diversification and a clean‑fuel transition advantage.
Cheniere Energy’s share price swings mirror global LNG volatility, as Middle East tensions tighten supply and U.S. feed‑gas costs rise—investors weigh demand, geopolitics, and operational efficiency.
JX Advanced Metals and RZ Resources team up to secure high‑purity titanium and zirconium for U.S. aerospace and renewable‑energy markets, backed by EXIM Bank funding and a strategy to navigate regulatory and geopolitical risks.
Idemitsu Kosan cuts oil output amid Iran‑Israel war, a first since 2022, to safeguard supply chains against Hormuz disruptions and protect Japan’s energy market stability.