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Global Commodity Market Wrap-Up
Global commodities ended the week on a mixed but relatively steady note, with precious metals under pressure while base metals edged lower. Gold declined 1.70% amid persistent macroeconomic uncertainty and rising Middle East tensions. Meanwhile, silver dropped 9.63%, copper fell 3.71%, lead slipped 0.58%, and zinc eased 0.71%, reflecting softer near-term industrial demand signals. Overall market sentiment remained cautious, with investors turning increasingly data-focused ahead of upcoming U.S. CPI figures and other key macroeconomic releases.
Energy markets showed strong upward momentum during the week, led by natural gas which surged 11.07% as supply concerns intensified and geopolitical tensions in the Middle East pushed prices higher. Crude oil also rallied sharply, gaining 30.84%, supported by heightened geopolitical risks and tighter supply expectations. In agricultural commodities, U.S. sugar edged down 0.14%, reflecting relatively soft demand signals. Overall, commodity markets remained mixed, with energy prices rising sharply while other segments stayed relatively subdued, as investors continued to track geopolitical developments and key macroeconomic indicators.

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