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ADP to Announce Fourth Quarter Fiscal 2026 Financial Results on July 29, 2026
ADP (Nasdaq: ADP), a global leader in HR and payroll solutions, is scheduled to release its financia...
India Manufacturing Output declined to 5.5% in May from previous 6.2%
India Manufacturing Output declined to 5.5% in May from previous 6.2%...
Oil Prices Climb as U.S.-Iran Flare-Up Shakes Market Complacency
Oil prices were climbing early on Monday morning after a fresh escalation between the U.S. and Iran ...
SpaceX already needs to raise more cash, and its stock is dropping
Elon Musk’s company is turning to the bond market less than two weeks after its blockbuster IPO.
IGSB vs. VGSH: Short-Term Bond ETF Showdown for Income Investors
Compare risk, yield, and portfolio makeup as two leading short-term bond ETFs take different approaches to income and stability.
WTI Oil retreats as US-Iran progress, Hormuz assurances unwind risk premium
West Texas Intermediate (WTI) US Oil declines sharply on Monday and trades around $74.50 at the time of writing, down 2.54% on the day.
How to Approach Abbott Stock Following Its Sharp YTD Decline?
ABT falls 29.4% YTD as respiratory testing weakness, China uncertainty and acquisition dilution pressure results and outlook.
US Dollar: Fedspeak and Hormuz risks guide USD – ING
ING’s Francesco Pesole expects Fedspeak and developments around the Strait of Hormuz to be the key drivers for the Dollar this week, with front-end USD rates remaining central for DXY.
Rising Bond Yields Are Becoming the Stock Market’s Biggest Problem
The moves suggested a reset for U.S. Treasury yields tied to the surprisingly hawkish tone established by new Federal Reserve Chairman Kevin Warsh last week, who hinted toward near-term rate hikes to ...
History Says This 1 Investing Mistake Could Cost You More Than Any Stock Market Crash
This move may be tempting right now, but it could be costly.
Oil: Energy shock drives macro risks – Rabobank
Rabobank’s Senior Macro Strategist Teeuwe Mevissen highlights that Oil and broader energy markets remain central to the global macro backdrop, tightly linked to Middle East tensions.
Which Bond ETF Is the Better Buy: iShares' MUB or Vanguard's VGIT?
Compare tax advantages, risk profiles, and portfolio strategies as these two bond ETFs take different paths to income and stability.
AXT's deal with Casela is 'significant,' limits export risk: Wedbush
U.S. stock futures dip as Iran peace talks ease oil prices
Brent crude slipped below $80 a barrel Monday after mediators said the U.S. and Iran had agreed on a roadmap to a deal within 60 days