Oil is trading on risk again
Escalating unrest in Iran is pulling geopolitical risk premium back into crude
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Escalating unrest in Iran is pulling geopolitical risk premium back into crude
Sovereign issuers sold more conventional bonds in 2025, driving regional bond markets to a four-year high
The region recorded 40 IPOs during the year, down from 53 in 2024
FinMin anticipates GDP growth to reach 4.6%
First on-time post-shutdown labor report reveals a “slow to hire, slow to fire” economy
Big Tech, global equities, and rare-earth metals were the main engines, while crypto saw extreme volatility
Trade, supply chains, and fiscal discipline define the 2026 outlook
If Venezuelan barrels are directed to the US, China is likely to turn to the Middle East for more oil
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