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Energy will volatility "will go away," just "not any time soon," says Rob Thummel. Seeing ships moving through the Strait of Hormuz on a regular basis is the driver he sees cooling volatility, something he expects to happen months from now.

Airline stocks, including DAL, UAL, AAL, JBLU, and LUV, rebounded post-ceasefire but face significant profitability headwinds. Elevated oil prices and widening crack spreads are the primary threats, driving EBITDA down as much as 62% and margins to 4.9%.

Jeremy Siegel, Wharton School professor of finance and WisdomTree chief economist, joins 'Squawk Box' to discuss his outlook for U.S. markets, what to expect from the Fed, economic headwinds, and more.

During times of turbulence and uncertainty in the markets, many investors turn to dividend-yielding stocks. These are often companies that have high free cash flows and reward shareholders with a high dividend payout.

Government bond yields moved higher on Thursday, reversing course amid renewed uncertainty over inflationary pressures and the outlook for interest rates in Europe. A rebound in oil prices has put the fragility of the U.S.-Iran ceasefire agreement in focus.

Stocks surged as a ceasefire between Iran, the U.S., and Israel was announced, erasing most war-related losses in major indices. I remain skeptical of the ceasefire's durability, as fighting continues and critical preconditions—like reopening the Strait of Hormuz—are unmet.

U.S. jobless claims rebounded last week to their highest level since February, painting a blurry picture of the labor market after a strong jobs report in March.

Consumer price index data for March is due Friday.

Consumer spending accelerated in February as the weather improved and Americans bought more new cars and other goods, but the momentum could be ha

As of April 9, 2026, two stocks in the utilities sector could be flashing a real warning to investors who value momentum as a key criteria in their trading decisions.

Core inflation was 3% in February, as expected, key Fed gauge shows

Shortly before the Iran war, a key measure of U.S. inflation rose at an excessive pace for the third month in a row, underscoring the latest challenge to the Federal Reserve in trying to squelch stubborn price pressures.

The US stock market has been resilient during the recent selloff because the US assets have been perceived as a safe haven, as evidenced by the strengthening US dollar. However, the US dollar is facing a debasement risk, which could accelerate the sell-America trade as inflation starts to pick up.

Rising risks of stagflation in 2026 are not reflected in current equity market valuations, and chances for that economic scenario are increasing. Geopolitical conflict in the Middle East may be a catalyst but is not the sole driver of stagflation concerns.

Terra Quantum said on Thursday it plans to list on Nasdaq this year through a merger with a U.S. special purpose acquisition company (SPAC) in a deal that would value the German-Swiss quantum technology company at $3.25 billion.

Wall Street expects earnings to reach a four-year high. That's too conservative, according to Deutsche Bank.

A look at the day ahead in U.S. and global markets by Amanda Cooper

Wall Street loses some of its enthusiasm over the two-week cease-fire as oil prices rebound and key questions linger.

The most oversold stocks in the industrials sector presents an opportunity to buy into undervalued companies.

The technology sector has been under severe pressure since 2026 started, with perhaps the most dramatic example of the downturn coming from Microsoft (NASDAQ: MSFT), which recently ended its arguably worst first quarter (Q1) of the century.