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The Iran conflict has sparked a new era of market fragmentation and heightened volatility, eroding cheap risk premiums and forcing investors to confront higher volatility risk premiums, supply‑chain u
Borrowing costs eat into trading profits. These stocks are less expensive to short.
All three major U.S. stock indexes posted a fifth straight weekly loss as oil-driven inflation fears from the Iran war erased expectations of Fed rate cuts, pushing the Dow more than 10% below its Feb
U.S. equities have slipped sharply in March as the S&P 500 fell 7.4% and volatility spiked, prompting analysts to question whether President Trump’s market‑boosting influence, once dubbed the “Trump p
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.
Morgan Stanley filed to launch a spot bitcoin ETF priced at 14 basis points, undercutting the current cheapest fund and positioning the first major U.S. bank-issued product to compete on cost in a nea
Bitcoin's recent dip below $66,000, coupled with significant ETF outflows, signals a potential slide to $62,500, yet whale accumulation offers a glimmer of hope for a rebound. Major altcoins like Ethe
U.S. stocks sold off sharply Friday as the Dow dropped over 790 points and entered correction territory, with the S&P 500 and Nasdaq also closing lower amid fears of a prolonged Iran war.
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
SoundHound AI’s shares plunged 71% to below $7 amid a surge in short‑selling, even as the company’s sales doubled and it posted a debt‑free balance sheet with $248 million cash reserves.
Jim Cramer warns that investors’ fear‑driven selling in market downturns, illustrated by his own 1984 tech‑call loss, leads to poor performance, urging a focus on high‑quality, moat‑rich companies ins
Bitcoin plunged to its lowest level since March 2, dragging major crypto-related stocks like Strategy and Robinhood to monthly lows as Iran war uncertainty and $500 million in leveraged long liquidati
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.
The **US stock market** has concluded its fifth consecutive week with a downturn, signaling persistent bearish sentiment among investors. This prolonged slump reflects growing concerns over economic s
Intercontinental Exchange, the parent of the New York Stock Exchange, poured another $600 million into prediction market platform Polymarket, bringing its total commitment close to $2 billion and deep
With the Nifty 50 down 9.37% in a month amid US-Israel-Iran war-driven volatility, Balanced Advantage Funds are being pitched as a hybrid mutual fund category that dynamically rebalances between equit
U.S. 10-year Treasury yields have surged roughly 46 basis points since late February to around 4.42%, pressuring global markets, yet Bitcoin has held near $68,000 and declined less sharply than equiti
DSP Mutual Fund issued a rare ad hoc note shifting to a bullish equity stance, citing historically low valuations across half the market and modest oil price pressures, and urging investors to increas
US stocks plummeted, with the Nasdaq entering correction territory, as escalating conflict between the US, Israel, and Iran sent oil prices soaring above $100. Despite initial market jitters, oil pric
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