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실시간 글로벌 금융 시장 뉴스 · 분석 · 인사이트
BREAKING주요 뉴스
Traders are spoiling for a fight over the yen
After historic US-Japan intervention on the currency, the risk of market ructions is again rising...
America’s AI election
Jill Lepore on how opposition to data centres is reshaping politics — and what history tells us abou...
Somali Piracy Surges Amid Hormuz Blockade
The effective closure of the Strait of Hormuz has forced hundreds of commercial ships onto longer ro...
Isabella Bank GAAP EPS of $0.69 misses by $0.23, revenue of $22.47M misses by $0.53M
Stock Market Today, July 23: Tesla Stock Crashes on Earnings Miss and Rising AI Spending
Today, July 23, 2026, analysts cut price targets as margin pressure and autonomous-driving caution weigh on the EV leader.
Dow Jones Futures: Market Sells Off On Oil Prices, Google, Tesla; Intel Jumps Late, SpaceX Starship Launch Due
The Nasdaq undercut key levels as Google and Tesla led titans lower while oil prices soared. A big SpaceX launch is due.
Intel Faces Earnings Test After 28% July Drop Despite Strong Q2 Expectations
Intel is expected to post stronger Q2 results, but semiconductor sentiment and valuation remain key investor concerns.
Primoris (PRIM): Buy, Sell, or Hold Post Q1 Earnings?
Primoris has gotten torched over the last six months - since January 2026, its stock price has dropped 39.3% to $89.91 per share. This was partly due to its softer quarterly results and may have inves ...
Which Long-Term Bond ETF Is the Better Buy: State Street's SPLB or Vanguard's VGLT?
Both funds own long-term bonds, but the risks they carry are completely different. Here is how to choose between corporate credit and government safety.
Direct Indexing, Structured Notes Help Advisors Manage Index Fund Concentration Risk
Wealth managers deploy long-short strategies, structured notes and stock picking to shield clients from overvalued large caps in ETFs and mutual funds.
Is an S&P 500 ETF a Safe Investment During a Market Crash?
Your portfolio might lose value, but that doesn't tell the whole story.
Why Oil Stocks Are a Portfolio’s Best Friend
with rising crude prices one of the most salient risks to the market right now, that exposure isn’t really such a bad thing.
Rates market tantrum risks trapping Fed into hiking - Nomura
Evolent Health drops 16% after Citi downgrade on rising FY2027 Medicaid risk
Bread Financial anticipates 2026 net loss rate of 7.0% to 7.1% as it raises loan growth outlook to low to mid-single digits