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실시간 글로벌 금융 시장 뉴스 · 분석 · 인사이트
BREAKING주요 뉴스
Wall Street is bracing for a wave of Fed rate hikes that may never come. These sectors stand to gain.
Inflation isn’t as high as you think — and Fed Chair Kevin Warsh looks less hawkish than advertised....
British Pound: Leadership turmoil and weaker carry weigh on Sterling – HSBC
HSBC argues that the Pound is more exposed to downside risks following Prime Minister Starmer’s resi...
Big Tech's AI cash cushion is plummeting: Chart of the Day
Yahoo Finance Markets and Data Editor Jared Blikre and Mahoney Asset Management CEO Ken Mahoney discuss the potentially problematic spending of AI hyperscalers.
Chemours faces more than $450M in costs under landmark PFAS settlement
AMC Entertainment (AMC): Buy, Sell, or Hold Post Q1 Earnings?
AMC Entertainment’s 24.1% return over the past six months has outpaced the S&P 500 by 16.3%, and its stock price has climbed to $2.09 per share. This was partly due to its solid quarterly results, and ...
Is Wendy’s the next meme stock? Everyday traders are trying to ‘save’ the fast-food chain.
Shares of fast-food chain Wendy’s rallied 25% at Wednesday’s open.
J.P. Morgan lifts its S&P 500 target to 7,800 but warns that a ‘flash crash’ remains a risk
J.P. Morgan strategists lifted their year-end S&P 500 forecast, saying they had been much too cautious around “unpredented” expectations for earnings growth.
10 large and mega-cap U.S. materials stocks with the weakest momentum grades
Ingredion (INGR): Buy, Sell, or Hold Post Q1 Earnings?
Over the past six months, Ingredion’s stock price fell to $96.75. Shareholders have lost 12.9% of their capital, which is disappointing considering the S&P 500 has climbed by 7.8%. This was partly dri ...
Macerich upgraded to Buy at Citi on 'Path Forward' progress
Hertz shares crater on stock offering, lowered guidance
10 small-cap U.S. materials stocks with the weakest momentum grades
Leading investment bank tells investors to prepare for every scenario as policy uncertainty lingers
UBS is urging investors to build portfolios that can withstand a range of outcomes, arguing that preparation matters more than prediction in an environment of heightened policy and geopolitical uncert ...