News
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You can't know the one thing you need to know about timing the market.
Bank of America reaffirmed its year-end price target of 7,100 for the S&P 500, representing a 5% drop from the week's closing level.
Three funds dominate the emerging markets ex-China conversation right now, and each one has put meaningful daylight between itself and the S&P 500 so far this year. iShares MSCI Emerging Markets ex China ETF (NASDAQ:EMXC) is up 39% year to date, Freedom 100 Emerging Markets ETF (NYSEARCA:FRDM) is up 41%, and Columbia EM Core ex-China ... 3 iShares ETFs Crushing the S&P 500 by 30 Points in 2026
In a quiet week following America’s big birthday bash, we’ll also see data on service-sector activity and the trade deficit. Next week promises to be busier, with big banks kicking off earnings season.
This leading pipeline operator has a bright future.
These companies serve essential customer needs that don't disappear in a recession, making them resilient stocks to consider even when the markets seem volatile.
Compare the portfolio concentration, risk profiles, and long-term growth of these two pharma ETFs.
Everyone wants to buy a stake in these companies, and they're more than willing to sell it.
Income investors chasing monthly checks from S&P 500 covered-call ETFs keep landing on the same two tickers: Neos S&P 500 High Income ETF (CBOE:SPYI) and JPMorgan Equity Premium Income ETF (NYSEARCA:JEPI). Both promise high, steady payouts by selling options on large-cap U.S. equities. They look interchangeable on a screener, yet their construction diverges sharply. One ... SPYI vs. JEPI: Which S&P 500 Covered-Call ETF Pays You More Safely?
Compare cost, diversification, and risk profiles as these two funds take different approaches to North American energy infrastructure exposure.
One offers broad stability with lower costs and higher income, while the other chases biotech growth with 89.3% annual returns but steeper volatility.
Warsh's ideological overhaul of the central bank isn't the best news for a stock market that's priced for perfection.
Millennial and Gen Z spenders are keeping this longtime industry stalwart fresh for a bright future.
Broader diversification and lower volatility set these two financial sector ETFs apart for investors seeking different risk and income profiles.
Stocks closed out the quarter with a bang, and Wall Street sees more gains ahead.
A BofA Securities analyst says that Homebuilder stocks lagged the broader market in the first half of 2026, according to the firm’s midyear report. The S&P Composite 1500 Homebuilding Index gained about 6% through June 30, trailing the 9% advance...
Wall Street is on the doorstep of making dubious history.
Pepsi and Delta will share their second-quarter results with investors this week as investors get an early look at second-quarter corporate financial results.
Massive AI-driven demand for memory chips could persist for several years.
The effects of the Iran war are spilling over into the broader economy.
These top tech stocks have driven market performance in recent years.
Don't ignore these yellow flags in the stock market.