Finance·5,882 stories
The average U.S. household's allocation to stocks has hit a record 55.1% of net worth, pushing the historically most reliable long-term stock-return indicator to its most bearish reading ever.
Major US stock indexes, including the **Dow**, **S&P 500**, and **Nasdaq**, have entered correction territory, with the Dow tumbling nearly 800 points and the S&P 500 marking its fifth consecutive wee
Bitcoin's recent dip below $66,000 has ignited bearish sentiment among professional traders, with options markets now pricing in a 53% chance of BTC remaining under this level by April 24. This declin
Nvidia’s shares slipped 2.2% to $167.46 as its forward P/E fell below the S&P 500’s for the first time in years, prompting investors to weigh new product optimism against supply‑chain risks.
The Dow, S&P 500, and Nasdaq each fell more than 1.7% to six-month lows, capping their fifth straight weekly loss — the longest streak in nearly four years — as the US-Iran war drove oil higher and er
Crypto stocks tumbled 5-10% on Friday as part of a $17 trillion market-wide selloff, extending a pattern of Monday relief rallies giving way to Friday risk-off sessions since the Iran war began.
Following U.S. and Israeli airstrikes on Iran, ICE recorded its busiest day with 35 million contracts, while NYSE’s closing auction hit a record 3.57 billion shares, underscoring soaring market activi
War‑related geopolitical tension and a record‑low rupee sent India's public‑sector bank index tumbling, with all 12 PSU banks in the red and the index down roughly 16% since the conflict began.
A Motley Fool bull-bear debate weighs the Vanguard Total Stock Market ETF (VTI) against the Vanguard S&P 500 ETF (VOO), with one analyst favoring VTI's broader diversification and another backing VOO'
The U.S. stock market fell sharply to six‑month lows amid war‑driven risk aversion, while the Trump administration’s new biofuel blending mandate sparked industry backlash over already spiking fuel pr
Tokenized equities are surging, with Kraken’s xStocks platform topping $25 billion in volume, prompting Coinbase and NYSE to launch their own token offerings despite concerns over price gaps and reduc
Microsoft has frozen hiring in its Azure cloud and North American sales divisions as its stock slides toward its worst-ever start to a year, down roughly 24%.
Micron Technology’s shares slid 7% to $355.46, pushing the stock into bear‑market territory and making its forward P/E of 4.5 the lowest among S&P 500 constituents, as analysts lifted its 12‑month ear
U.S. markets tumbled as rising oil prices amid escalating Iran tensions spurred sharp declines across major indices, while political rhetoric and legal setbacks added to investor unease across the boa
Micron’s shares slipped for a sixth straight day as a Morgan Stanley analyst warned that AI‑driven memory demand is unusually durable, challenging traditional cyclical expectations despite investor fe
Three dividend-focused ETFs are beating the S&P 500 this year as energy-heavy value stocks surge while the index's tech, financial, and consumer-discretionary heavyweights drag the broader market down
UBS warns that sustained crude oil prices at $120 a barrel could slash India's FY27 earnings growth from 16% to about 11%, highlighting the country's import dependence and potential market pressures.
The stock market is experiencing a rally, with the Dow, S&P 500, and Nasdaq all rising, driven by cautious optimism surrounding potential de-escalation in U.S.-Iran tensions and talks of a ceasefire.
U.S. stocks rose on March 25, 2026, with the Dow hitting a one-week high, even as oil prices fell despite Iran's reported rejection of a U.S. cease-fire plan.
Bank of America reinstated coverage of Microsoft stock with a buy rating and $500 price target, citing durable AI demand despite near‑term cash‑flow pressure and a 23% YTD share decline.
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