How Trump's Iran Policy Affects Oil Companies
📊 XOM — Piyasa Yorumu
▲ up · 55%The headline suggests that Trump's Iran policy could affect oil companies, which typically introduces volatility in oil prices due to geopolitical risks. XOM's technical indicators are mildly positive: RSI at 59 is not in overbought territory, and MACD is just below the signal line but in positive territory. The price is above the 20- and 50-day moving averages, supporting a short-term upward trend. However, since the news lacks a clear direction and contains uncertainty, the impact may be limited. Therefore, while expecting an upward move, I maintain a moderate level of confidence.
📊 CVX — Piyasa Yorumu
▲ up · 55%The headline suggests that Trump's Iran policy could affect oil companies, which typically supports oil prices amid geopolitical risks and may positively impact energy stocks like CVX. Technically, the RSI at 72.6 is approaching overbought territory, but the MACD is above the signal line and positive, indicating strong short-term momentum. The price is trading above the SMA20 and SMA50, with a 2.5% increase in the last 24 hours, confirming an upward trend. However, the high RSI increases the risk of short-term consolidation or a slight pullback, so I anticipate a limited positive impact rather than a strong rally. Overall, the news and technicals align, but caution is warranted due to overbought signals.
📊 BRENT — Piyasa Yorumu
■ neutral · 55%The news headline is likely to have an uncertain impact, as it does not contain any concrete action or outcome regarding Trump's Iran policy. Technical indicators are giving mixed signals: RSI is neutral at 53, MACD is slightly below the signal line, and the price is above the SMA20 and SMA50. A sideways movement can be expected in the short term, but sudden moves are possible depending on geopolitical developments. Therefore, since there is no clear directional signal, one should remain neutral.
📊 WTI — Piyasa Yorumu
■ neutral · 55%The headline suggests an ambiguous effect; Trump's Iran policy may either increase or decrease supply-side risks. Technical indicators are mixed: RSI at 52 is in neutral territory, MACD is slightly positive but close to the signal line, and the price is above the SMA20 and SMA50. A sideways movement can be expected in the short term, but sudden moves are possible depending on geopolitical developments. Therefore, no clear directional signal is emerging.