Research Archive

Quarterly Outlooks & Research

Anchor documents and thematic deep dives. Each quarterly outlook establishes the macro thesis; subsequent signals track its evolution in real time.

Quarterly Outlook February 2026

Q2 2026: The Post-Tariff Dollar and What Comes Next

The dollar enters Q2 2026 structurally weaker than at any point since 2021. SCOTUS strikes down IEEPA tariffs. Powell-to-Warsh transition. EUR/USD toward 1.20. Gold above $5,000. The positioning framework for Q2.

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Weekly Review Week of 9–14 Mar 2026

Crude Awakening

WTI traces a $43 intraweek range — $119 to $77 and back to $99. DXY breaks 100 for the first time in eight months. VIX collapses from 35 to 27. Silver crashes −6.6% while BTC leads at +7.6%. The largest oil supply shock in history, absorbed in five sessions. Q2 thesis: under stress.

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Weekly Review Week of 24–28 Feb 2026

The Dollar's Identity Crisis

DXY rejected at 98.00 three times. Gold +1.6% to 5,186. CFTC shorts at 5-year extremes. Geneva talks advance. USD/JPY 284-pip range. Six sections covering trade policy, gold, rates, diplomacy, positioning, and risk.

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