# [WARNING] Russia Launches New Nationwide Multi‑Wave Strike on Ukraine

*Wednesday, May 13, 2026 at 11:09 AM UTC — Hamer Intelligence Services Desk*

**Detected**: 2026-05-13T11:09:57.740Z (2h ago)
**Tags**: Ukraine, Russia, Airstrikes, Energy, Europe, Drones, Missiles, Commodities
**Sources**: OSINT
**Permalink**: https://hamerintel.com/data/alerts/6645.md
**Source**: https://hamerintel.com/summaries

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**Summary**: Between 10:10 and 11:02 UTC on 13 May, Russia began a prolonged combined air operation against Ukraine, launching an estimated 150–200 Geran‑2 drones across the country with Ukrainian intelligence warning of follow-on cruise and ballistic missile salvos. Initial strikes and power outages are reported in multiple western and central regions, indicating a renewed campaign against critical energy, transport, defense-industrial and government infrastructure. The scale and nationwide spread make this a significant escalation with implications for Ukraine’s resilience, European security, and energy and grain markets.

## Detail

1. What happened and confirmed details

From approximately 10:10 to 11:02 UTC on 13 May 2026, Russian forces initiated a new large-scale, multi-wave strike operation against Ukrainian territory. Ukraine’s HUR military intelligence and GUR (Reports 21 and 36) state that Moscow has launched a "prolonged combined strike" targeting critical infrastructure and life-support facilities of major cities, including the power grid, defense industry enterprises, transport nodes, and government buildings. They assess that Russia’s plan is to first saturate Ukrainian air defenses with large numbers of strike drones, then follow with air- and sea-launched cruise missiles plus ballistic missiles.

Independent OSINT estimates (Report 23) indicate Russia has launched roughly 150–200 Geran‑2/Gerbera drones in recent hours, with at least 120 simultaneously detected in Ukrainian airspace, in large groupings heading mainly toward western regions. Report 22 lists initial impact locations: Lutsk, Dubno, Rivne, Ivano-Frankivsk, Kolomyya, Khmelnytskyi, Zdolbuniv, Yampil, Chernivtsi, Smila, Cherkasy, Kyiv, and Malyn, among others. Local Ukrainian channels (Reports 11–16) corroborate explosions, air-defense activity, and at least partial power loss in Rivne, Ivano-Frankivsk, Lutsk, Odesa, and a strike on an agricultural enterprise in Zaporizhzhia.

By 10:58 UTC, Kyiv’s immediate air-raid threat was lifted (Report 9), but the warning remained active for other regions, consistent with a rolling, multi-wave pattern.

2. Who is involved and chain of command

On the Russian side, the operation appears to be directed by the Russian General Staff and Aerospace Forces (VKS), using Shahed‑type Geran‑2 loitering munitions and likely Kalibr/Kh‑101/Kh‑555 cruise missiles, plus possible Iskander or other ballistic systems in later waves. This is consistent with prior nationwide campaigns ordered at the Kremlin level. On the Ukrainian side, HUR/GUR intelligence, the Air Force, and regional military administrations are coordinating air-defense responses and damage control.

3. Immediate military and security implications

The strike pattern indicates a renewed attempt to degrade Ukraine’s power grid, transport nodes, defense production and command infrastructure ahead of expected summer operations. Heavy focus on western and central regions suggests an effort to hit logistics, repair facilities, and air-defense nodes supporting the front, not only frontline-adjacent targets.

Short-term effects may include localized blackouts, rail and industrial disruptions, and temporary degradation of UAV and air-defense coverage if depots or assembly sites are hit. The reported use of large numbers of Geran‑2s—many likely acting as decoys—aims to force Ukraine to expend scarce air-defense missiles and reveal radar positions ahead of the missile waves that Ukrainian intelligence expects.

If follow-on missile salvos materialize in the next 6–24 hours at similar or greater scale, this could mark the start of another extended infrastructure campaign reminiscent of previous winter assaults but timed to strain Ukraine’s grid, industry, and civilian morale ahead of key NATO decisions on aid.

4. Market and economic impact

While Ukraine itself is not a major global hydrocarbon exporter, its role in Black Sea agriculture and as a key risk node for European security makes such escalations market-relevant:

- Energy: Renewed systematic attacks on Ukrainian power infrastructure can disrupt local electricity and potentially strain cross-border power flows with the EU, modestly supportive for European power and, by correlation, regional gas prices. It also reinforces geopolitical risk premia embedded in European utilities and grid-related assets.
- Agriculture: Strikes on transport and agricultural facilities (e.g., the reported agricultural enterprise hit in Zaporizhzhia) amplify perceived risk to Ukraine’s grain logistics ahead of the new harvest, potentially supporting wheat and corn prices and related shipping rates, particularly if rail corridors or Danube/Black Sea export infrastructure are later targeted.
- Currencies and risk assets: A visible escalation of this type typically strengthens safe-haven flows into the U.S. dollar and gold at the margin, while weighing on Central and Eastern European equities and FX sensitive to war risk. Defense stocks in NATO countries may see incremental support on expectations of higher munitions and air-defense demand.

5. Likely next 24–48 hour developments

Ukrainian intelligence explicitly warns that the current drone wave is the first phase of a longer combined operation, with cruise and ballistic missile salvos expected. Over the next 24 hours, we should expect:

- Additional large air-raid alerts and missile launches from Russian strategic aviation and Black Sea assets, possibly during night-time windows to maximize psychological and operational impact.
- Further reports of power outages, substation and thermal plant damage, and possible strikes on defense-industrial and logistics hubs in central and western Ukraine.
- Ukrainian appeals for more air-defense assets and long-range strike capabilities, feeding into ongoing NATO and EU debates on support packages.

If Russia sustains this pace beyond 24–48 hours, it would signal a deliberate, renewed campaign to systematically degrade Ukraine’s state capacity rather than a one-off strike series, with commensurately higher implications for European security calculations and for sustained risk premia in energy, grain, and regional asset markets.

Separately, tanker-tracking data (Report 1) confirm that, as of about 10:57 UTC, Iran has not exported any crude oil by sea for 28 days under the U.S. naval blockade imposed in April. While this is a continuation of an existing sanctioning dynamic rather than a new step today, it underlines a material ongoing supply constraint that will continue to support medium-term oil prices and volatility, especially if enforcement tightens further or triggers Iranian countermeasures in regional shipping lanes.

**MARKET IMPACT ASSESSMENT:**
The new large-scale Russian strike campaign on Ukraine’s grid and infrastructure raises risk premiums on European power and gas, can support safe-haven flows into gold and U.S. Treasuries, and may modestly pressure crude and grain prices higher on heightened geopolitical and export disruption risk. The sustained halt of Iranian seaborne crude exports tightens medium-term oil balances, supportive for Brent and Middle Eastern grades while increasing volatility in tanker, refinery, and shipping equities; it also underpins a higher geopolitical risk premium in energy markets.
