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BREAKING주요 뉴스
Ukraine's Refinery Strikes Push Russia Into a Fuel Crisis
After weeks of trying to downplay the impact of Ukrainian drone strikes on Russian refineries, the K...
Chinese Yuan: PBoC’s new tool signals mild strength – BNY
Geoff Yu at BNY highlights that the PBoC’s new overnight liquidity tool was launched at 1.25%, below...
Update: Communication Services Helps Boost US Equity Indexes; Crude Oil Advances Amid Mixed Messaging on Iran Meeting
(Updates with index/price moves and geopolitical news from the first paragraph.) US equity indexe...
US Dollar: Long-end selloff and Fed focus – TD Securities
TD Securities’ Global Strategy Team notes a sharp bear steepening in US yields, with 30-year rates holding above 5% for four consecutive days for the first time since 2007. Markets now price in just o ...
Lam Research gets an upgrade, Applied Materials cut at Morgan Stanley
MetLife, Inc. 4.75% DP PFD F declares $0.2968 dividend
MetLife, Inc. Deposit Shs Repr Non-Cum Perp Red Pfd Shs Series E declares $0.3515 dividend
Pershing Square 13F Check: How quant ratings score Ackman’s top stakes in QSR, AMZN, MSFT, and BN
MetLife Fltg Rate Non Cum Preferred Stock Series A declares $0.3119 dividend
Alaska LNG secures gas supply deal with ConocoPhillips for pipeline project
5 Things to Know Before the Stock Market Opens
News of the day for May 18, 2026
Silver price rebounds on softer Dollar amid US-Iran talks, high yields limit upside
Silver (XAG/USD) trades around $76.55 on Monday, up 0.80% on the day at the time of writing, as the white metal stabilizes after last week’s heavy sell-off.
Voya Global Equity Dividend and Premium Opportunity Fund declares $0.05 dividend
Inflation Uptick Is Starting to Send Sell Signals to Stock Bulls
(Bloomberg) -- Wall Street strategists are warning the honeymoon period for stocks following a blockbuster earnings season is over and that a harsh macro-economic reality now threatens this year’s ral ...
Dow Jones seen remaining in red, oil eases on reports of Iran sanctions lifted
US stocks have been predicted to start Monday trading in the red, as they ended last week, with investors continuing to worry about rising bond yields, stubborn inflation and the economic fallout from ...