Financial News & Analysis
AI-analyzed market intelligence from trusted sources
Here's why the housing market is hurting so much this summer
High mortgage rates and record home prices drive down home sales and builder sentiment, signaling housing market strain.
Trump is set to deliver an election-focused national address tonight. Here's what to know
Trump's election-focused speech raises political uncertainty but offers no new economic policy, limiting broad market impact.
Turning Oil to Fuel Has Never Been More Profitable as Refining Margins Surge
US refiners see record profit margins as war disrupts fuel supplies, boosting refined product prices.
Oil Traders Crowd Around Cheap TACO Hedge as Iran War Escalates
Oil traders adopt cheap options to hedge against Iran war escalation and policy uncertainty, signaling market anxiety.
Russian strikes threaten Ukraine’s Black Sea grain trade
Russian strikes disrupt Ukraine grain shipments, surging wheat prices and adding inflationary pressure.
Chevron and Iraq seek to bypass Strait of Hormuz with Syria pipeline
Chevron and Iraq plan a Syria pipeline to bypass Strait of Hormuz, potentially reducing oil transport risks.
Here's what to expect when Netflix reports earnings after the bell
Preview of Netflix's upcoming earnings, focusing on ad-tier growth, engagement, and M&A potential.
Spain Extends Welcome Mat for Chinese Carmakers to Its Workers
Spain facilitates its largest Chinese industrial investment, involving Chinese workers for construction, to boost its auto industry.
Chevron to Sign Oil Investment Accords With Iraq on Friday
Chevron to sign accords with Iraq to negotiate investment in large oil fields, potentially boosting future supply and signaling improved ties.
Paschi Casts Doubts Over Intesa Bid, Suggests Studying BPM Plan
Monte Paschi board doubts Intesa bid as too low and risky, considering BPM alternative.
Citi Traders Pitch Shorting French Shipping Giant CMA CGM Bonds
Citi traders recommend hedge funds short bonds of shipping giant CMA CGM, signaling potential credit concerns in the sector.
$RKLB is now trading at October 2025 prices. Thoughts?
Retail investor sees RKLB dip as buying opportunity, citing analyst targets and CEO selling.