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Apenas manchetes de alto sinal - eventos macro, resultados, M&A, regulatório. Listicles e clickbait de analistas filtrados por padrão. Atualizado a cada hora.

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3 Reasons to Sell ARHS and 1 Stock to Buy Instead
StockStory45d agoneutral
3 Reasons to Sell ARHS and 1 Stock to Buy Instead

Over the last six months, Arhaus’s shares have sunk to $8.62, producing a disappointing 19% loss - a stark contrast to the S&P 500’s 8.4% gain. This might have investors contemplating their next move.

3 Reasons to Avoid TFSL and 1 Stock to Buy Instead
StockStory45d agobullish
3 Reasons to Avoid TFSL and 1 Stock to Buy Instead

TFS Financial’s 26.4% return over the past six months has outpaced the S&P 500 by 17.9%, and its stock price has climbed to $17.38 per share. This was partly thanks to its solid quarterly results, and the run-up might have investors contemplating their next move.

3 Reasons to Avoid FCF and 1 Stock to Buy Instead
StockStory45d agobullish
3 Reasons to Avoid FCF and 1 Stock to Buy Instead

First Commonwealth Financial’s 19.8% return over the past six months has outpaced the S&P 500 by 11.4%, and its stock price has climbed to $20.47 per share. This performance may have investors wondering how to approach the situation.

3 Big Reasons to Love Marsh (MRSH)
StockStory45d agoneutral
3 Big Reasons to Love Marsh (MRSH)

Over the past six months, Marsh’s shares (currently trading at $176.36) have posted a disappointing 5.9% loss, well below the S&P 500’s 8.4% gain. This may have investors wondering how to approach the situation.

BJ's (BJ): Buy, Sell, or Hold Post Q1 Earnings?
StockStory45d agoneutral
BJ's (BJ): Buy, Sell, or Hold Post Q1 Earnings?

Since January 2026, BJ's has been in a holding pattern, posting a small loss of 4.7% while floating around $88.75. The stock also fell short of the S&P 500’s 8.4% gain during that period.

Netflix (NFLX): 3 Reasons We Love This Stock
StockStory45d agoneutral
Netflix (NFLX): 3 Reasons We Love This Stock

Over the past six months, Netflix’s stock price fell to $77.63. Shareholders have lost 15.1% of their capital, which is disappointing considering the S&P 500 has climbed by 8.4%. This was partly due to its softer quarterly results and might have investors contemplating their next move.

2 Reasons to Watch NTRS and 1 to Stay Cautious
StockStory45d agoneutral
2 Reasons to Watch NTRS and 1 to Stay Cautious

Over the past six months, Northern Trust has been a great trade, beating the S&P 500 by 14.4%. Its stock price has climbed to $176.96, representing a healthy 22.9% increase. This was partly thanks to its solid quarterly results, and the run-up might have investors contemplating their next move.

Conagra Brands (CAG) Stock Faces S&P 500 Exit As New Products Hit Shelves
Simply Wall St.45d agoneutral
Conagra Brands (CAG) Stock Faces S&P 500 Exit As New Products Hit Shelves

Conagra Brands (NYSE:CAG) was removed from the S&P 500 and related indices, with the change tied to index rebalancing. The company was simultaneously added to smaller cap indices, changing how some index-tracking funds may hold the stock. Conagra also rolled out a wide range of new branded food products across its portfolio. Conagra Brands now sits outside the S&P 500 at a share price of $14.34, with the stock down 17.1% year to date and down 25.8% over the past year. Over shorter periods,...

3 Reasons to Avoid STAA and 1 Stock to Buy Instead
StockStory45d agobullish
3 Reasons to Avoid STAA and 1 Stock to Buy Instead

STAAR Surgical has had an impressive run over the past six months as its shares have beaten the S&P 500 by 7.7%. The stock now trades at $27.81, marking a 16.2% gain. This was partly thanks to its solid quarterly results, and the performance may have investors wondering how to approach the situation.

Meet the 441K 'everyday millionaires' created in the US in 2025
Yahoo Finance Video45d agoneutralVIDEO
Meet the 441K 'everyday millionaires' created in the US in 2025

UBS has reported a spike in "everyday millionaires" in 2025 as 1,200 US millionaires were created every day last year, amounting to over 440,000 new millionaires. Morning Brief Host Brooke DiPalma is joined by Yahoo Finance Senior Reporter Pras Subramanian and Payne Capital Management president Ryan Payne to discuss this trend and how these people are able to maximize on their spending and investing.

3 Reasons to Sell AIG and 1 Stock to Buy Instead
StockStory45d agoneutral
3 Reasons to Sell AIG and 1 Stock to Buy Instead

Over the last six months, AIG’s shares have sunk to $79.39, producing a disappointing 5.9% loss - a stark contrast to the S&P 500’s 8.4% gain. This may have investors wondering how to approach the situation.

3 Reasons to Sell ST and 1 Stock to Buy Instead
StockStory45d agoneutral
3 Reasons to Sell ST and 1 Stock to Buy Instead

Sensata Technologies has had an impressive run over the past six months as its shares have beaten the S&P 500 by 19.9%. The stock now trades at $45.19, marking a 28.3% gain. This was partly thanks to its solid quarterly results, and the run-up might have investors contemplating their next move.

3 Consumer Stocks That Concern Us
StockStory45d agoneutral
3 Consumer Stocks That Concern Us

Consumer discretionary businesses are levered to the highs and lows of economic cycles. Unfortunately, the industry’s recent performance suggests demand may be slowing as discretionary stocks’ 5.6% return over the past six months has trailed the S&P 500 by 2.8 percentage points.

Jim Cramer turns bullish on health care stock after years of doubt
TheStreet45d agoneutral
Jim Cramer turns bullish on health care stock after years of doubt

For most of the past three years, Jim Cramer kept his distance from Moderna, treating the biotech stock with skepticism bordering on avoidance. The Cambridge, Massachusetts, company had become synonymous with the pandemic trade, and Cramer’s enthusiasm faded as demand for Covid-era vaccines dried ...

Two Sector Income ETFs Outyielding the S&P 500 by More Than 2 Percent Heading Into a Possible Recession
24/7 Wall St.45d agoneutral
Two Sector Income ETFs Outyielding the S&P 500 by More Than 2 Percent Heading Into a Possible Recession

The U.S. economy has proven remarkably resilient over the past two decades. Sure, COVID briefly punished the economy, but the downturn was short-lived after the Federal Reserve slashed interest rates to near zero and launched another round of quantitative easing, purchasing large quantities of government and mortgage-backed debt to stabilize financial markets and support lending. ... Two Sector Income ETFs Outyielding the S&P 500 by More Than 2 Percent Heading Into a Possible Recession

Does the Dow’s New Record Send the Strongest Signal Yet for Value Stocks?
24/7 Wall St.45d agoneutral
Does the Dow’s New Record Send the Strongest Signal Yet for Value Stocks?

Wall Street delivered one of its most unusual trading sessions of 2026. Yesterday, the Dow Jones Industrial Average climbed nearly 600 points, or 1.1%, to a record 52,900, while the Nasdaq-100 dropped almost 500 points, or 1.6%. The S&P 500 was virtually unchanged as gains in traditional industries offset weakness in technology. On the surface, ... Does the Dow’s New Record Send the Strongest Signal Yet for Value Stocks?

Recurve Capital’s Analysis on Carvana (CVNA)
Insider Monkey45d agoneutral
Recurve Capital’s Analysis on Carvana (CVNA)

Recurve Capital recently published its investor update for June 2026. A copy of the letter can be downloaded here. The portfolio underperformed significantly this year, largely due to Carvana, which saw a decline of 10% in June and 22% year-to-date (YTD) through June 30th. This drop has contributed nearly 80% to the portfolio’s poor performance […]

Intercontinental Exchange’s (ICE) Strategic Move in Predictive Markets
Insider Monkey45d agoneutral
Intercontinental Exchange’s (ICE) Strategic Move in Predictive Markets

Manole Capital Management, an investment management company, focused on covering the Financial and Technology sectors, released its second quarter 2026 investor letter. In volatile market conditions, the strategy has performed well amid unexpected geopolitical tensions. A copy of the letter can be downloaded here. The strategy has performed well amid unexpected geopolitical tensions. The portfolio is […]

1 S&P 500 Stock with Competitive Advantages and 2 We Avoid
StockStory45d agoneutral
1 S&P 500 Stock with Competitive Advantages and 2 We Avoid

The S&P 500 (^GSPC) is home to the biggest and most well-known companies in the market, making it a go-to index for investors seeking stability. But not all large-cap stocks are created equal - some are struggling with slowing growth, declining margins, or increased competition.