
Interest-rate strategists at Goldman Sachs Group Inc., Wells Fargo & Co. and other Wall Street firms said the US Treasury Department’s bond buybacks will do little to reverse the jump in long-term yields.
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Interest-rate strategists at Goldman Sachs Group Inc., Wells Fargo & Co. and other Wall Street firms said the US Treasury Department’s bond buybacks will do little to reverse the jump in long-term yields.

Does Marathon Petroleum (MPC) have what it takes to be a top stock pick for momentum investors? Let's find out.

Analysts see nearly 40% upside in Bloom Energy and Intel after Pelosi's household bought the stock at its July low.
Affirm Holdings (AFRM) is positioned to deliver strong fiscal Q4 results, driven by solid Buy Now, P

Dollar General's Q2 earnings are likely to test whether value-driven traffic and margin initiatives can offset consumer pressure and cost headwinds.

NVent Electric (NVT) agreed to acquire Maverick Power for $1.75 billion to expand its portfolio of e

AMC's strong rebound faces a balance-sheet hurdle, while CNK combines record profitability, rising estimates and new growth avenues.

VIG emphasizes dividend growth with lower costs, while FDVV targets higher current income through tech-heavy concentration. Which strategy suits your portfolio?

ZG's diversified model and stronger ROE contrast with OPEN's discounted valuation, AI push and bigger housing-market risks.

Shareholders of Huntington Ingalls would probably like to forget the past six months even happened. The stock dropped 33.5% and now trades at $297.79. This may have investors wondering how to approach the situation.

The chip designer and optical networking maker reports second quarter earnings on Thursday, and Wall Street is expecting meaningful growth.

Spyre has a broad clinical pipeline and cash runway, but elevated valuation makes upcoming readouts critical to its investment case.

Strategy raised $2 billion through stock sales last week, boosting its cash reserves and creating a new liquidity pool as Bitcoin rallied.

Trane Technologies has record bookings, a $12.1B backlog and rising earnings estimates, but premium valuation and margin pressure temper the buy case.

Par Pacific could offer greater upside than ExxonMobil, supported by strong refining margins, flexible crude sourcing and a cheaper valuation.

Bitcoin is finally starting to get some attention from investors again.

AMZN's accelerating AWS growth, AI monetization and diversified revenues make it the stronger buy over BABA despite a higher valuation.

ServiceNow (NYSE:NOW) and Tech Mahindra announced an expanded multi-year partnership to move enterprises from AI pilots to production deployments. Tech Mahindra plans to set up a dedicated AI & Innovation Center of Excellence focused on ServiceNow's platform. The alliance targets faster AI adoption, stronger platform governance, and improved cost efficiency for enterprise customers. Mahindra Group will act as a real world testing ground for joint AI solutions across multiple industries. For...

Western Digital enters fiscal 2027 with accelerating earnings and AI-driven storage demand, but premium valuation and execution risks raise the bar.

Science Applications stands out over Accenture on valuation, price performance and backlog strength, making it the more attractive IT services pick.

MS outpaces peers with a 45.1% share price gain, but trading cyclicality, rising expenses and a premium valuation could limit further upside.

MP Materials is trailing the market in 2026. Under the surface, however, the company is getting stronger.

Delek's cash flow is improving as refining margins and optimization efforts gain traction, while low valuation, leverage and regulatory uncertainty shape the case.

JPMorgan Chase & Co. and Morgan Stanley are among banks shareholders are suing over their roles on multibillion-dollar buyout deals after a recent corporate-law overhaul failed to protect financial advisers from potential liability.

Walmart beat on revenue and earnings, then watched its stock post the worst single-session drop in three years. The numbers underneath the headline suggest the problem has less to do with Walmart and far more to do with the shoppers keeping it alive.

The beauty group's repricing rests on a profit plan it controls, while the low end of its new sales guidance is no faster than the year just ended.

TeraWulf’s campus was being built on the former Century Aluminum Hawesville site, which still has about 482 MW of transmission capacity since the smelter closed.

EOG's strong Q2 2026, production growth and robust free cash flow support its rally, while valuation and lower 2027 earnings raise the bar.

Steel Dynamics, Nucor, and Cleveland-Cliffs shares rise as escalating U.S.-Canada trade tensions put steel tariffs back in focus.
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