July has historically been the U.S. stock market’s best month. The S&P 500 — as tracked by the SPDR S&P 500 ETF Trust (NYSE:SPY) — rose 2.56% on average over the past 20 years in July, the strongest average return of any month. The index finished July higher 80% of the time and has closed green in each of the past 11 Julys. • Apple stock is showing upward bias. Where are AAPL shares going? A subset of large-cap technology stocks has done even better. Data compiled on TradingView across the same
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Noble's profitability and lean balance sheet stand in sharp contrast to Transocean's $2.9B loss, but scale and valuation tell a different story.
Amazon is reportedly readying a bond offering of at least $25 billion, as the tech giant continues to plow investments into AI-related infrastructure. Amazon stock was trading slightly lower. The Seattle-based Amazon is expected to issue at least $25 billion of new U.S.-dollar bonds Tuesday, the Wall Street Journal reported.
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Mastercard (NYSE:MA) and PayPal (NASDAQ:PYPL) just closed Q1 2026 reports that look like mirror opposites. Mastercard delivered accelerating services growth and margin expansion from a position of dominance. PayPal beat low expectations under brand-new CEO Enrique Lores, but guided to a flat-to-down 2026. Both stocks trade below where they started the year, and investors are ... Mastercard Vs. Paypal: The Argument Over Which Undervalued Fintech To Buy Has a Clear Cut Answer
Following the industrial conglomerate's breakup, which of the Honeywell spin-offs offers the greatest upside opportunity?
JPMorgan, Bank of America and other lenders reportedly explored acquiring Fiserv's debit network in early-stage talks.
I keep hitting the buy button on NVIDIA (NASDAQ:NVDA), and after the June pullback I hit it again. I bought near $225 in May, I bought near $212 in June, and I added last week close to $194.83. The story that got me into this position keeps getting louder. Here is what pulls me back ... Nvidia Bears are Blind: 3 Reasons to Ignore Them and Buy Now
Agios stock skyrocketed closer to a profit-taking zone Tuesday after the FDA assigned its sickle cell drug a speedy review.
Chipotle Mexican Grill (NYSE:CMG) and McDonald’s (NYSE:MCD) just closed earnings cycles that exposed a widening split inside fast food. Chipotle posted its first full year of negative comps. McDonald’s printed broad traffic recovery powered by value menus. Both feed millions weekly, yet their balance sheets, customers, and pricing playbooks barely rhyme. Negative Comps for Chipotle, ... Chipotle vs. McDonald’s: Why the Stock with Negative Comps Is the Better Buy
NGVT shares are up 24.8% YTD, beating the industry, as portfolio optimization, hybrid demand and pricing actions drive earnings and boost outlook.
Lockheed Martin (NYSE: LMT) and Boeing (NYSE: BA) both posted Q1 2026 results that read like two different industries. Lockheed runs a pure defense execution engine with messy program charges but reaffirmed guidance. Boeing claws back from manufacturing, certification, and legal scars while its commercial unit loses money on every plane it ships. Program Charges ... Lockheed Martin Vs. Boeing: Which Stocks Is A Better Buy In July
Shares of Eli Lilly have risen by over 40% since the company last reported earnings.
Protagonist shares rise as rusfertide nears an FDA decision and Icotyde adds milestone payments, royalties and broader pipeline momentum.
Earnings, burnings, and learnings make the streaming giant a potential big winner this month.
It doesn't get much more dependable and lucrative than the healthcare industry.
KBW analyst Stephen Glagola says the 401 MW Anthropic lease at Hawesville produces roughly $19 billion in contracted revenue, with duration driving economics above expectations, but financing hinges on an…
DigitalOcean said it added “multiple nine-figure annual customer commitments” for its inference and cloud products during the second quarter.
Following brief, localized spikes in the VIX, the market’s broad “fear gauge,” the standard spot VIX has continuously struggled to maintain any persistent upward momentum, routinely sliding back toward its historical baseline.
Can rising power demand, strong project execution and data center growth justify AGX's premium valuation, or should investors wait?
One has FDA approval and revenue; the other is pre-commercial but debt-free. Both face distinct risks that could reshape your biotech bet.
Corning (GLW) demonstrates strong technical momentum with a 72% “Buy” technical opinion from Barchart. GLW has gained more than 250% over the past year. Analyst sentiment is broadly positive despite some concerns that shares may be overvalued. I view the recent dip as a potential buying opportunity given GLW’s solid...
C joins LPMCL as a clearing member, expanding precious metal settlement services and strengthening its position in the London bullion market.
Nexa Resources surges 164% in a year as strong Q1 results, higher zinc output, growth investments and an attractive valuation support its long-term outlook.
XOM's Permian strength, sturdy balance sheet and dividend record support its case, but softer oil prices and premium valuation call for caution.
DAVE's 46% monthly rally looks supported by raised guidance, improving credit trends, the Coastal funding deal and strong ExtraCash momentum.
LITE's 700% rally has been fueled by AI and cloud demand, but strong fundamentals and optical networking growth keep its buy case intact.
JPMorgan Chase (JPM) and other big banks including Citigroup (C) and Wells Fargo (WFC) are likely to