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BREAKING주요 뉴스
China’s growing debt burden limits space for economic stimulus
Mounting interest payments restrict headroom to revive domestic demand, say experts...
US hits commercial tanker in Gulf of Oman as tensions flare
The ship tried to break through America’s naval blockade of Iranian ports, Central Command says of i...
Tanker Rates Soar to Record as Oil Crisis Becomes Shipping Crisis
The cost of shipping crude oil soared to record highs last month as the Iran war reshuffled trade ro...
SK hynix says no determination on a capital raise for its US subsidiary
Silver Price Forecast: XAG/USD trapped below 100-day SMA as US NFP approaches
Silver (XAG/USD) consolidates with marginal losses on Friday following back-to-back daily gains, as traders avoid taking large positions ahead of the US Nonfarm Payrolls (NFP) report.
Jim Cramer says it's time to buy the Magnificent Seven again
The "Mad Money" host argues that months of underperformance have made most of the group too cheap to ignore
Tradeweb reports August trading volume of $61.2T
Clearmind Medicine signs agreement to acquire 51% stake in Charging Robotics
Stock futures mixed as traders await August jobs report
Nasdaq-100 futures led modest gains Friday morning as economists expected 53,000 jobs added last month
Canadian Dollar steadies at 1.3800 awaiting employment data from US and Canada
The Canadian Dollar (CAD) holds minor losses against the US Dollar (USD) on Friday, as the USD/CAD pair trades just above 1.3800 after bouncing from two-week lows at 1.3765.
Six reasons that the risk of a stock-market selloff is rising. Here’s what investors should be doing.
Many markets are priced for perfection warns Longview Economics.
US Dollar: Short-term downside risks – ING
ING’s Chris Turner notes that dovish comments from Federal Reserve official Christopher Waller have pushed US yields and the Dollar lower, while supporting equities and high-yielding FX.
Governments keep trying to calm global markets. Why that should worry investors.
Government interventions, such as currency buying and bond buybacks, are supposed to reassure markets. But lately, they are doing the opposite.
This Global REIT Beats SCHH on Yield. Is It a Better Buy for Real Estate Investors?
One fund prioritizes cost efficiency with a 0.07% expense ratio and stronger returns, while the other offers global diversification and a 4.3% dividend yield for income investors.