
US Stockpiles Keep $5 Corn From Surpassing 2022 Peak
$5 Corn May Mark a 2026 Peak Alongside $120 Crude - The December corn future (Dec26) stretch to $4.99 a bushel around the onset of the Iran war on March 9 may have peak inklings akin to Dec22's $7.66 apex following Russia's invasion of Ukraine. The front crude oil future approached $120 a barrel on March 9. Corn and crude share a common factor that may keep a lid on prices: US abundance. When Dec26 corn began trading in 2022, US total projected ending stocks were low, near 1.2 billion bushels. Inventories are now elevated at about 2.1 billion bushels. Fertilizer challenges tied to Strait of Hormuz disruptions may reduce yields, but absent a Corn Belt drought, my graphic might guide corn's initial reversion target toward $4.50 -- the high-volume price area. Spiking crude can be its own worst enemy, and corn is typically more autocorrelated. Full report on the Bloomberg here: https://t.co/x9VLKAO8Qq {BI COMD} #corn #crudeoil @BBGIntelligence
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FTSE100 Appears to Have Dismissed Hammer Pattern
So far it does look like the #FTSE100 has turned off that Hammer 2 days ago: https://t.co/9itZslTJ9y

S&P 500 Re‑tests Oct 10 Low Amid Pullback
left: S&P 500 $SPX pulled back and in the neighbourhood of the lows from the Oct 10th "biggest bar against" right: S&P/TSX $TSX https://t.co/kzsEuflLan

Pension Funds Snap Up $14B Equities, Top Percentile
GS on Flows via BBG: - Pension funds to buy $14 billion in equities for month/quarter-end rebalancing. - Ranks 75th percentile over the past three years in absolute dollar terms, and 97th percentile on a net basis. https://t.co/PkjmgbNxLG
Analysts Bullish on MAZE, yet Pre‑market Price Drops
$MAZE - Analysts pitching tent poles over the AMKD data, yet stock is down pre market. What's the disconnect?

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Gold Crushes Stocks Over Every Decade Span
imagine being an investor that is so stubborn to be unwilling to invest in an asset (gold) that has outperformed stocks on a 1, 2, 3, 4, 5, 10 and 20-year time frame... $PHYS $GLD $SPX $TSX not just outperformed... crushed......

Retail Influx and Hedge Fund Margin Calls Drove Gold Slump
Why has gold tumbled? Two reasons: (i) the big rally pre-war sucked in lots of retail investors who're more skittish than the previous buyer base; (ii) volatility meant hedge funds had margin calls, so sold profitable positions like gold to...

Diesel Prices Fell Over 25% in Real Terms
Diesel was $7.25 in real dollars back in July 2008, $6.51 in June 2022 @jkempenergy .. $5.38 in real-time. I'd like to see @JeffWeniger work his magic on this chart https://t.co/u3Tn1K8vRc
Choose Growth or Preservation: Define Your Family’s Wealth Goal
Are you trying to grow your $5M to $10M? Or are you trying to make sure it still exists when your grandchildren are adults? Those are two completely different strategies. And most families never have the conversation about which one they're...

Oil’s 14‑point Swing Signals Massive Unresolved Risk Premium
Oil crashes 10% on diplomacy hopes. Snaps back 4% when Iran denies those talks. WTI: $88 to $91.62 in 24 hours. Same war. Same region. Different headline. The volatility is the signal — not the direction. A 14-point crude range in 48...

Oil’s Wild Swing Shows Volatility Is the Real Indicator
Oil -10% Monday. Oil +4% Tuesday. Same war. Same geopolitics. The volatility IS the signal. $USO $XLE $SPY https://t.co/Od9t9fzbbl

Single Stock Calls Appear Undervalued Compared to Index Options
Single stock calls are looking cheap, with stock IV seemingly cheap relative to Index calls. I think that could be an interesting trade setup here. https://t.co/kZqM2eCdlo

Barclays Lifts 2026 S&P 500 Target to 7,650
Barclays raises 2026 year-end S&P 500 target to 7,650 despite Middle East, inflation risks https://t.co/UIix0xSpIM

Silver Chart Confusion: Bullish Triangle or Mega Wedge?
$Silver - Up until March 12 I was told that this was a bullish triangle. Now I am being told that this is a mega bullish wedge. If I didn't know any better I would say that someone is bullshitting...
Past Winners Rarely Repeat; Avoid Chasing Late Buys
What worked yesterday rarely leads tomorrow. Chasing returns often means buying too late. #InvestorBehaviour #LongTermThinking https://t.co/HenaCHj3hb

EU-Mercosur Trade Deal Launches May 1, Covering 25% of Global GDP
"EU says Mercosur free trade deal will start May 1, accounting for 25% of global GDP" https://t.co/357IyH3KRA https://t.co/tpysXMlyjm

VIX at 25 Signals Bearish Market Comfort
$VIX at 25 is pretty much right where the stock market bears want to see it (I posted an X article this morning for my subscribers about this) https://t.co/nM3ANvkYbo

May RBOB Price Drop Signals Lower National Average
May soon becomes the RBOB prompt.. it's $2.89... implying a $3.80-$3.85 national average (down from today's $3.99 level) https://t.co/0eD1CGzOZ5

Feb Home-Sale Contracts Fail at Record 13.7%
"More than 42,000 U.S. home-sale agreements fell through in February, equal to 13.7% of homes that went under contract that month. That’s up from 12.8% a year earlier, and the highest February share in records dating back to 2017." -Redfin

Europe's Gas Reserves Deplete Amid War‑driven Supply Crisis
Europe faced with near-empty gas stores just as war hits supply https://t.co/AMi8Pr6NeH via @priazrocha https://t.co/iNtIl6DXzV

Markets Rally on Hope for US‑Israel Iran Peace Plan
Hope Lifts Stocks and Bonds: There continues to be hope in the capital and commodity markets that a US-Israel war on Iran can be brought to a conclusion soon. While news reports indicate that the US had drafted a 15-point...

Is XLF's Rally a Dead‑Cat Bounce or Bullish Bellwether?
$XLF vs $SPY ... is this just a dead-cat bounce? Or a bullish bank bellwether? I'll dig into it over at @stockcharts today... https://t.co/MhlcvVnB8k

SPY Up 16% YoY, Global & SMID Stocks Outperform
Liberation Day crash, a war with oil to $100... and $SPY is +16% YoY @stockcharts International stocks and SMIDs even better $VEU $VXF https://t.co/Gk0s6YgEPV
Microcaps Double, Triple, Then Plunge—Sell Aggressively
Microcaps vs larger caps are two different animals. When a microcap goes up 2x and 3x in a 12-month period the median peak to trough drawdown is 58% and 68%. When an S&P 500 stock goes up 2x or 3x in a...

USD Steadies on Hopeful Middle East Ceasefire Proposal
$USD is mostly consolidating with a slightly firmer bias after yesterday's late NY sell-off amid hope of a soon end to the war in the Middle East. US offers ceasefire proposal while sending more Marines and equipment to the...

U.S. Diesel Hits $5.38/gal, 75th Percentile Since
U.S. RETAIL DIESEL prices including taxes climbed to an average of $5.38 per gallon on March 23 up from $5.07 a week earlier and $3.81 before the war started. Inflation-adjusted prices have averaged $4.80 so far this month (75th percentile...

Sudan's Pound Plummets to World's 6th Worst Currency
On this week's Hanke's #CurrencyWatchlist, the Sudanese pound ranks as the WORLD'S 6TH WORST CURRENCY. The pound has depreciated by over 27% against the USD in the past year. https://t.co/6wm9wwnlxP

India’s REER Shows Rupee Deeply Undervalued, Services Amplify
India's REER (Real Effective Exchange Rate) index is substantially below 100, no matter which currency basket we use. Below 100 means the rupee is undervalued. I have issues with the index (which only uses good trade, not services) - if...

Dutch Gas Stocks Plunge to 6.1% Amid LNG Shortfall
Dutch gas inventories fall to **6.1%** full 🇳🇱 ⚠️ This is a seasonal low, and comes as the global LNG market is facing a shortfall due to the conflict in the Middle East https://t.co/OeUgHLyuUf

China Lithium Prices Surge, Inventories Decline, 3× June Lows
While most eyes are focused on hydrocarbons in the Middle East, keep an eye on #Lithium in China as well... Some data providers flagged a weekly reduction in inventories, and prices have bounced over the past few days. We seem...

Thailand May Hike Power Rates 18% Amid Middle East Conflict
Thailand is hiking power prices due to the conflict in the Middle East 🇹🇭 ⚠️ Power rates may be increased by as much as 18% for the May-Aug. billing period due to higher fuel costs Other gas importers are...

US 15‑point War Plan Lifts Stocks, Drops Yields
The heavy flow of War-related news continues this morning, with reports ranging from corroborative to contradictory. On a net basis—and mainly reflecting news that the US has proposed a “15-point plan to end the war”—bond yields and oil prices are down...

Ceasefire Talks Boost Global Markets, SPX Near Resistance
Mostly green arrows around the World as Israel says there’s growing talks for a 30 Day Ceasefire. Europe and Asia broadly higher $spx futures +62. We’ll see if early strength builds or fades. $spy pivot resistance $662...
Live Gold Futures Trade Session with Chill Beats
https://www.tiktok.com/@theblackliststocks?_r=1&_t=ZP-94ylxCCXmzW Going live about to enter gold futures trade and listen to music and just chill I’ll see yall there 🫱🏾🫲🏻📈🚀

ORB System Delivers Consistent NQ Breakout Profits
🇬🇧 London just handed us a PERFECT ORB trade on NQ 📈 Watch what happened: ✅ Range set ✅ Breakout confirmed ✅ 134 points captured 🔥 This is not luck. This is a SYSTEM. Every. Single. Day. The market runs the same playbook...

Nifty50 Hovers at 22843.85 Support, Future Direction Unclear
22843.85 is a key support to watch this week on Nifty50. Today’s open: 23064.40 Current low: 23063.20 Market literally opened and kissed the same level… almost no downside follow-through so far. That’s interesting. Now the real question: Is this absorption before a move up, or just...

Market Senses Conflict's End, EMAAR Hits Higher Lows
The stock market sniffing the end of conflict. EMAAR Properties stock carving out a higher low and higher high. The market is whispering, pay attention. https://t.co/6jeyw3uJtO
SLN Secures Funding, Yet New Caledonia Nickel Remains Risky
SLN stabilised with fresh funding, but New Caledonia nickel supply still faces deep structural risks. https://www.metalnomist.com/2026/03/new-caledonia-nickel-supply-gains-time.html
US-Israeli Conflict Boosts Iran's Oil Sales and Prices
My take on @AJEnglish on how the US-Israeli war has backfired and is benefiting Iran: “Iran is getting more oil out, they’re selling it at higher prices, and at lower discounts than prior to the US-Israeli attacks.” https://t.co/ySeIcR0lFS

Gold Targets 4680‑4720 After 4480‑4520 Range
GOLD ( XAUUSD ) : TRADE PLAN 4480's - 4520's to 4680s - 4720s For detailed context of our reasoning , see the quoted post.

HDFC's Structural Change Alters Indian Gold ETF Landscape
Most Gold ETF investors in India won’t notice this But HDFC just changed something structural. And the internet is getting it half right here is my full breakdown.
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Accurate De‑Escalation Call Spurs Gold & Oil Trade Ideas
As our both calls : 1) Calling for a de-escalation & markets reaction early monday 2) Predicting the reaction of Gold ( XAUUSD ) , SPX ( US500 ) into the weekend Have landed to perfection , I will be sharing my detailed...

Targeting Gold Futures After $900 Profit Surge
Had a pretty good day with futures yesterday (around $900 in profits) Today I’ll be looking to go long gold via the futures market (TBL team and I are already in gold option positions and shares) I love the daily confluence. Strong...

Silver Holds Retest, Former Resistance Turns Support
Silver daily chart: Technical analysis in action. Retest held: previous resistance acted as a support...
Weak Refining Economics Heighten Strategic Pressure on US Smelters
US copper smelters face rising strategic pressure as weak refining economics reshape the copper supply chain. https://www.metalnomist.com/2026/03/us-copper-smelters-face-strategic.html

India's Economy Crippled by Gulf Dependence Amid Iran War
#IndiaWatch 🇮🇳: As the Iranian war drags on, India takes an economic hit. Eighty percent of Indian gas imports, forty percent of Indian oil imports, and forty percent of India’s remittances depend on the Gulf. MODI SHOULD SEND TRUMP AND NETANYAHU A...
Asia Cuts LNG Imports to Free Gas for Europe
This is why there is so much focus on gas demand destruction 👇 Importers (particularly those in emerging Asia) will need to take less LNG to free-up more for Europe and other richer nations the longer Hormuz/Qatar is shut