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Debt Monitor - Metals & Mining Sector - Weekly
February 16, 2026

Arbat Capital
Feb 15


Debt Monitor - Energy Sector - Weekly
February 9, 2026

Arbat Capital
Feb 8


Debt Monitor - Emerging Markets - Weekly
February 9, 2026

Arbat Capital
Feb 8


Debt Monitor - Metals & Mining Sector - Weekly
February 9, 2026

Arbat Capital
Feb 8


Debt Monitor - Energy Sector - Weekly
February 2, 2026

Arbat Capital
Feb 1


Debt Monitor - Metals & Mining Sector - Weekly
February 2, 2026

Arbat Capital
Feb 1


Debt Monitor - Emerging Markets - Weekly
February 2, 2026

Arbat Capital
Feb 1


Oil Market Report - January 2026
January 2026 crude market performance was defined by a tug-of-war between a structurally comfortable supply narrative , supported by surplus talk tied to Venezuela normalization and broader 2026 balance expectations, and repeated, albeit different “shock absorbers” that kept risk premia alive , such as Iran escalation headlines, Kazakhstan outages, and late-month US winter storm disruptions. EXECUTIVE SUMMARY January 2026 crude market performance was defined by a tug-of-war

Arbat Capital
Jan 29


Debt Monitor - Emerging Markets - Weekly
January 26, 2026

Arbat Capital
Jan 25
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