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BREAKING주요 뉴스
China’s monthly inflation cools as impact from Iran war eases
July CPI rises at slowest pace since January while factory-gate price growth decelerates...
Marriott (MAR): Buy, Sell, or Hold Post Q1 Earnings?
Since July 2021, the S&P 500 has delivered a total return of 70.5%. But one standout stock has more than doubled the market - over the past five years, Marriott has surged 162% to $371 per share. Its ...
JPMorgan's AI agents beat 60/40 portfolio, its own rule-based regime in backtests
Trump says US has agreed to continue talks with Iran
President declares that ceasefire is ‘over’ despite ongoing negotiations
AJG Stock Trading at a Discount to Industry at 2.74X: Time to Hold?
Arthur J. Gallagher's organic growth, active acquisitions and capital deployment support long-term expansion despite margin and leverage challenges.
Japanese Yen rises as Japan urges pension funds to invest in domestic assets
USD/JPY falls toward 161.80 on Friday, down 0.37% at the time of writing, as the Japanese Yen (JPY) benefits from an unexpected shift in the Japanese government's stance on domestic asset allocation.
3 Reasons CHCO is Risky and 1 Stock to Buy Instead
City Holding has followed the market’s trajectory closely, rising in tandem with the S&P 500 over the past six months. The stock has climbed by 9.2% to $132.58 per share while the index has gained 7.2 ...
Baker Hughes wins E.U. approval for Chart Industries deal after LNG tech divestitures
Ondas Stock Up 261% in a Year: Should Investors Buy, Hold or Sell?
ONDS lifted its 2026 revenue outlook after Q1 sales jumped tenfold, but rising expenses and earnings volatility could test its growth story.
Ciena Soars 495% in a Year: Should Investors Buy the Stock Now?
CIEN is riding the AI-driven optical networking demand, record revenue and a growing backlog. See what's fueling its outlook despite supply constraints.
The space race is on as China takes a big step toward rivaling SpaceX
A Chinese company demonstrated controlled recovery of a rocket’s bottom portion, which is critical in helping to drive down launch costs.
4 Low-Beta Stocks to Minimize Portfolio Risk: LQDA, FLXS, ELMD & AGX
LQDA, FLXS, ELMD and AGX combine low beta, positive price momentum and strong fundamentals to help investors navigate market volatility.
3 Reasons to Sell EIG and 1 Stock to Buy Instead
Employers Holdings’s 13.4% return over the past six months has outpaced the S&P 500 by 6.1%, and its stock price has climbed to $50.56 per share. This run-up might have investors contemplating their n ...