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The dollar’s rebound faces a key test as traders assess Fed expectations, geopolitics, and slowing spending. With inflation cooling and rate-cut bets rising, markets eye jobs data for policy...
• Trump’s trade war, U.S. jobs report, and last batch of Q4 earnings will be in focus this week. • Costco's earnings report is seen as a potential catalyst for growth, making it a stock to watch for...
In a market fraught with uncertainty, investors often seek refuge in defensive-minded stocks that offer stability and resilience. Two such stalwarts, Johnson & Johnson and Coca-Cola, embody the...
Losing $80,250 could accelerate Bitcoin’s drop toward $74,000. Fed policies and macro uncertainty outweigh U.S. crypto-friendly shifts. A rebound depends on reclaiming $80,000–$86,000 with strong...
Nvidia’s muted reaction keeps tech on edge, with chipmakers in focus. Nasdaq’s 20980-21000 support holds—for now. A break could mean trouble. With Nvidia done, GDP today and Core PCE Friday...
Nvidia’s earnings beat didn’t erase investor concerns over slowing growth. Soft Q1 guidance and valuation worries may limit the stock’s upside. Weak network and gaming sales added to investor...
Palantir remains highly valued with a 460x P/E ratio and a 42.5x P/B ratio, far above its peers. The stock's beta of 2.81 signals high volatility, meaning sharp moves in both directions. Fair Value...
The German election results initially boosted optimism, but uncertainty over coalition talks is keeping pressure on EUR/USD. Trump's confirmation of tariffs on Mexico and Canada increased safe-haven...