Global Commodity Market Wrap-Up
Last week, the metal markets showed overall weakness, as both precious and base metals faced downward pressure. Gold declined 1.67% amid easing safe-haven demand, while silver dropped 3.18%, indicating rising investor optimism. Base metals also edged lower—copper slipped 0.08%, lead fell 0.62%, and zinc lost 1.83%—reflecting persistent global economic concerns. The mixed performance signals shifting sentiment, with geopolitical tensions and uncertain monetary policy continuing to weigh on near-term price outlooks across the metal spectrum.
Last week, natural gas prices dipped 2.20%, despite support from supply constraints and seasonal demand. Crude oil fell 6.90%, pressured by market uncertainty and shifting investor sentiment. In contrast, U.S. sugar prices rose 0.23%, defying the broader weakness in agricultural commodities. These mixed movements reflect ongoing supply-demand imbalances and heightened sensitivity to global economic instability. Volatility remains elevated across both energy and agricultural markets, indicating that these price trends could persist in the near term.
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