A concentrated pharma focus sets VanEck apart from iShares’ broader healthcare approach. See how portfolio differences shape risk and income profiles.
Notícias
Apenas manchetes de alto sinal - eventos macro, resultados, M&A, regulatório. Listicles e clickbait de analistas filtrados por padrão. Atualizado a cada hora.
The performance of consumer discretionary businesses is closely linked to economic cycles. Unfortunately, the industry’s recent performance suggests demand may be slowing as discretionary stocks’ 1.4% return over the past six months has trailed the S&P 500 by 7.7 percentage points.
Stocks are still soaring, but a market slump could potentially be on the horizon.
For its annual analysis of CEO pa y, The Associated Press used data provided by Equilar, an executive data firm. Equilar examined regulatory filings detailing the pay packages of 337 executives. Equilar looked at companies in the S&P 500 index that filed proxy statements with federal regulators between Jan. 1 and April 30, 2026.
Ripple ex-CTO David Schwartz mocked viral advice to buy S&P 500 at all-time highs with a sarcastic buy-high joke.
Compare how expense ratios, yield, and portfolio concentration set these two banking ETFs apart, revealing key factors for cost-conscious investors.
Stock Market Today: The Dow Jones index rose Wednesday as oil prices continued to tumble. Micron stock surged in premarket trading.
The typical CEO compensation package rose nearly 6% in 2025 to $17.7 million, as company boards rewarded their top executives for bigger profits and higher stock prices, and gave them incentives to stick around and make even more money for shareholders. The Associated Press’ CEO compensation survey, which uses data analyzed for The AP by Equilar, included pay data for 337 executives at S&P 500 companies who have served at least two full consecutive fiscal years at their companies, which filed proxy statements between Jan. 1 and April 30. While the biggest gaps occur at companies where the CEO received compensation loaded with one-time awards of stock, the pay ratio also tends to be highest at companies in industries where wages are typically low.
The technical Wall Street term for investors short-selling space stocks right now is “getting your face ripped off.” Shares of commercial space companies are on fire lately. Coming into Wednesday trading, shares of Rocket Lab and AST SpaceMobile to name two, were up 74% and 55%, respectively, over the past month, leaving them both up more than 380% over the past 12 months.
The Vanguard S&P 500 ETF is an excellent investment, but I have some concerns.
Dick’s Sporting Goods narrowly cleared the bar for the first quarter but a cut in its full-year earnings outlook and cautious guidance sent shares sliding Wednesday. The Pennsylvania-based retailer posted first-quarter adjusted earnings of $2.90 a share, a touch above analysts’ calls for $2.89. Although the company raised the low end of its full-year comparable sales outlook for both the Dick’s and Foot Locker franchises, Dick’s now sees earnings of $13.27 to $14.27 a share, compared with a prior range of $13.70 to $14.70.
By Tom Wilson LONDON, May 27 (Reuters) - Global shares advanced and oil prices eased on Wednesday as markets looked for signs of whether a shaky truce between the United States and Iran will be
S&P 500 and Nasdaq futures pointed higher Wednesday as a chip rally extended and oil prices fell on Iran truce hopes
Wall Street’s technology stocks looked set to lead markets higher again on Wednesday as investors piled further into the artificial intelligence trade and global equity benchmarks hit fresh record highs. Futures for the Nasdaq 100 were up 0.6% ahead of the opening bell, while contracts for...
Investing.com -- Goldman Sachs has raised its S&P 500 year-end target to 8,000 from 7,600 in a note on Wednesday, citing an exceptionally strong first-quarter earnings season and upgraded profit forecasts, while warning that a bumpy path lies ahead.
Earnings took the spotlight off the gloom near the end of Q1.
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Despite ongoing tensions in the Middle East, volatile oil prices, inflation concerns, and President Trump’s unpredictable rhetoric, U.S. stocks remain remarkably resilient. The S&P 500 has pushed back toward record highs as investors continue pouring money into tech and AI-linked names. Strong corporate earnings, massive AI infrastructure spending, and surprisingly durable economic data have helped offset many of the macro concerns weighing on sentiment.Memorial Day Sale – Claim 70% Off TipRanks
Akzo Nobel says it has rejected a joint bid from Sherwin and Nippon Paint at an indicative price of 73 euros per share.
In recent weeks, global markets have experienced a dynamic shift, with major U.S. stock indexes like the Dow Jones Industrial Average and the S&P 500 Index reaching new heights amid heightened enthusiasm for artificial intelligence (AI) stocks. This buoyant sentiment comes despite broader economic concerns such as rising inflation and subdued consumer sentiment, highlighting the importance of selecting tech stocks that not only exhibit strong growth potential but also demonstrate resilience...
There are a lot of new thematic ETFs out there. But are they worth your time, or should you steer clear?
Inflation expectations have driven bond yields higher, which could cause the stock market to fall sharply.
Data from Stocktwits shows that retail sentiment has held at ‘bullish’ on SPY and QQQ this week.
Asian equities were mixed on Wednesday with gains driven by soaring tech stocks and guarded optimism the United States and Iran will reach a peace deal."There remains an air of cautious optimism in markets that an MoU between the US and Iran will be signed and detailed throughout the week, although the central expectation and broad positive sentiment has been dented by the recent US defence strikes and Iran stating these measures breach the agreement," said Chris Weston, head of research at Pepp