금융 뉴스 허브
실시간 글로벌 금융 시장 뉴스 · 분석 · 인사이트
BREAKING주요 뉴스
Traders are spoiling for a fight over the yen
After historic US-Japan intervention on the currency, the risk of market ructions is again rising...
America’s AI election
Jill Lepore on how opposition to data centres is reshaping politics — and what history tells us abou...
Somali Piracy Surges Amid Hormuz Blockade
The effective closure of the Strait of Hormuz has forced hundreds of commercial ships onto longer ro...
Traders are using options to chase a runaway rebound in stocks, pushing the market even higher
Stocks have shot higher over the past four trading sessions, and investors who are worried about missing out are piling into bullish options bets just to try to keep up.
Par Pacific Non-GAAP EPS of $10.10 beats by $1.95, revenue of $2.97B beats by $570M
Dianthus Therapeutics GAAP EPS of -$0.90 misses by $0.05, revenue of $0.76M beats by $0.51M
Innospec Non-GAAP EPS of $1.27 beats by $0.22, revenue of $491.4M beats by $34.17M
Mercury General Non-GAAP EPS of $3.52 beats by $1.72, revenue of $1.68B beats by $160M
Everus Construction Group, Inc. GAAP EPS of $1.64 beats by $0.50, revenue of $1.23B beats by $150M
Crexendo Non-GAAP EPS of $0.12 beats by $0.02, revenue of $24.65M in-line
United States API Weekly Crude Oil Stock above expectations (-2M) in July 31: Actual (2.69M)
Stock Market Today: Dow, S&P 500 Hit New Highs; SpaceX Jumps Ahead Of Q2 Report
The Dow Jones Industrial Average and the S&P 500 finished at record highs Tuesday, aided by slumping oil prices on fresh enthusiasm for a U.S.-Iran peace deal. On the stock market today, Palantir Tec ...
US Crude Oil Inventories Build As Washington Talks Up Potential Peace Deal
The American Petroleum Institute (API) estimated that crude oil inventories in the United States rose by 2.69 million barrels in the week ending July 30, despite analyst expectations for a 2 million b ...
IYF vs EUFN: U.S. and European Financial Giants Face Off in this ETF Comparison
Europe's financials fund yields 4.0% but carries deeper drawdown risk, while its U.S. counterpart offers broader diversification with 142 holdings.