Commodities rebounded broadly for the first time in nine sessions on Friday, with oil rising on better business morale data in Germany but copper fell to 2-month lows on fresh worries over Europe. Raw sugar and coffee's premium grade arabica rallied more than many other commodities although traders cautioned that excess supplies could weigh on prices again. In grains markets, U.S. soybeans were hurt by profit-taking after hitting a 3-1/2-month high on strong buying from China and a port strike in Brazil that stalled grains shipments there. Corn and wheat also pared early gains. The Thomson Reuters-Jefferies CRB index, a commodities bellwether, was up by about a quarter percent by 1 p.m. EST (1800 GMT), on the way to snapping losses in eight previous sessions. Twelve of the 19 markets tracked by the CRB rose, with nickel, sugar and coffee gaining more than 1 percent each. Oil's benchmark Brent crude in London rose $1.26 per barrel to a high of $114.79 before paring gains to trade below $114. U.S. crude added about 10 cents to near $93. Brent had lost 3.3 percent in the past two sessions, plumbing 3-week lows. U.S. crude had fallen to 6-week lows. The selloff began after rumors hit the markets on Wednesday that a commodities hedge fund was in trouble and liquidating positions. It accelerated on speculation the U.S. Federal Reserve may end its bond-buying program, which has provided liquidity to financial markets, sooner than previously thought. Commodity markets started 2013 strongly, with the CRB rising 3 percent in January on signs of better economic recovery in the United States, Europe and China. But uneven business and growth data in the past two weeks raised market jitters, pushing the CRB lower for eight straight sessions. OIL TICKS UP WITH STOCKS In Friday trade, oil followed stocks higher after data showed Germany's business morale grew at its fastest pace in over two years in February. Wall Street's key equities index, the S&P500, was up 0.7 percent, rising for the first time in three sessions. The rebound came despite the euro dropping to a 6-week low against the dollar after the European Central Bank announced crisis loan repayments by euro zone banks at levels far below market expectations. "With the equity markets focused more on German business confidence than downward revisions to Euro Zone economic forecasts, the petroleum markets are seeing at least a limited bounce after the Wednesday-Thursday drop," Tim Evans, energy futures specialist at Citi Futures said in a research note. "The height of the bounce - whether today or into next week - will provide an indication of whether oil market bullish sentiment is resilient or whether further urgent long liquidation is on tap," Evans added. Copper slipped to its lowest level in 2 months and showed its biggest weekly loss in 14 months on concerns about the global economy and the demand for industrial metals. Three-month copper on the London Metal Exchange closed at $7,805 a tonne, down from $7,860 at the close on Thursday. It earlier fell to its lowest level since Dec. 21, at $7,796. The metal, used in power and construction, has fallen 4.8 percent so far this week for its biggest weekly fall since mid-December 2011. On Thursday, it suffered its biggest single-day slide of 2013. Prices at 1:25 p.m. EST (1825 GMT) LAST NET PCT YTD CHG CHG CHG US crude 92.93 0.09 0.1% 1.2% Brent crude 114.10 0.57 0.5% 2.7% Natural gas 3.276 0.030 0.9% -2.2% US gold 1572.60 -6.00 -0.4% -6.2% Gold 1572.95 -2.80 -0.2% -6.1% US Copper 353.10 -2.20 -0.6% -3.3% LME Copper 7808.00 -53.00 -0.7% -1.6% Dollar 81.472 0.011 0.0% 6.1% CRB <.TRJCRB 0.000 0.000 0.0% -100.0% US corn 692.50 1.75 0.3% -0.8% US soybeans 1481.25 -6.50 -0.4% 4.4% US wheat 721.75 0.50 0.1% -7.2% US Coffee 143.40 1.65 1.2% -0.3% US Cocoa 2165.00 22.00 1.0% -3.2% US Sugar 18.22 0.10 0.6% -6.6% US silver 28.455 -0.249 -0.9% -5.9% US platinum 1605.80 -14.20 -0.9% 4.4% US palladium 733.60 0.00 0.0% 4.3%
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