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Update: Equities Fall For Third Day as Oil Stretches Gains Amid Middle East Anxiety
(Updates with market moves at the end of the day, and other changes, if any.) US stocks fell for...
Forex Today: US Dollar firms on Hormuz jitters ahead of UK CPI and FOMC Minutes
The US Dollar Index (DXY) held a firm tone near the 99.60s on Tuesday, keeping a mild safe-haven bid...
Update: US Equity Indexes Fall as 30-Year Yield Hits 19-Year High, Crude Oil Advances
(Updates with index/price moves and geopolitical news from the first paragraph.) US equity indexe...
IBM earnings preview: Can management reassure investors after preliminary Q2 miss
Tripadvisor cut to neutral at BTIG on AI risks, limited strategic visibility
Oracle stock has crashed 50% since June
Oracle stock has had a brutal run this summer.
Twenty One Capital, Strike, Elektron Energy merger falls apart - report
Novo Nordisk's Dividend Story Is Changing -- Here's What Investors Are Missing
Novo Nordisk is offering an attractive 3.5% yield backed by a business where volume is the new focus.
Time to buy the dip in momentum stocks after a punishing July drawdown? Here’s what history tells us.
Investors who can stomach a little short-term volatility are often rewarded.
SK Hynix (KOSE:A000660) Could Be 46% Undervalued Following Its ADS Offering
SK hynix (KOSE:A000660) has drawn fresh attention after completing a US$26.5b follow on equity offering of American Depositary Shares, which was followed days later by its addition to the NASDAQ Compo ...
Short-Term Income ETFs: How Do Vanguard Short-Term Bond ETF and Schwab Treasury ETF Compare?
Schwab's Treasury-only approach delivers lower volatility and drawdown, while Vanguard's corporate bond mix offers slightly higher yield and broader diversification.
Citi’s Chew says U.S. stock positioning unwind may not be over
Investing.com -- Citi told investors in a note that the recent technology-led selloff has triggered a broad deterioration in equity positioning across major markets, with the firm warning that "the un ...
1 Consumer Stock with Competitive Advantages and 2 We Find Risky
Consumer staples stocks are solid insurance policies in frothy markets ripe for corrections. But they’re also double-edged swords as they often lag in booming conditions, and this pattern has persiste ...
Which Is the Better Healthcare ETF, First Trust's Biotech-Focused FBT or State Street's Broader XLV?
FBT delivered 52.4% returns over one year but with deeper drawdowns, while XLV's diversified approach offers lower costs and steadier performance.
3 S&P 500 Stocks We Think Twice About
While the S&P 500 (^GSPC) includes industry leaders, not every stock in the index is a winner. Some companies are past their prime, weighed down by poor execution, weak financials, or structural headw ...