Nasdaq drops 1.5% on inflation fears, while Cerebras Systems soars 68% in its debut. SpaceX IPO prospectus could arrive next week.
Trump's impatience with Iran and sticky inflation keep markets on edge. Analysis of oil, Fed policy, and investment implications.
South Korea's Kospi plunges 6% amid global inflation fears, while Hana Financial deepens crypto ties, raising questions about market stability.
Inflation concerns rattle European markets while Solana's Alpenglow upgrade aims to stabilize staking rewards—two sides of the same coin.
European stocks plummet on renewed inflation fears after hot US data, with PM Starmer's UK growth plan under pressure.
Japan's Nikkei 225 fell 2% as government debt yields surged past 5.18%, tracking broader Asia-Pacific declines led by South Korea's 6% rout.
South Korea's Kospi crashes 6% from record highs, dragging Asian and European markets down. Expert analysis on what's next.
Nikkei 225 drops 2% amid rising bond yields and inflation fears, echoing global sell-off. Original analysis on BOJ policy impact.
Hong Kong's Hang Seng index slid 1.6% amid renewed inflation fears and global market jitters. Our analysis explores the local triggers and broader implications.
Hong Kong's Hang Seng index fell 1.6% as renewed inflation concerns hit Asian markets. We analyze the drivers and outlook.
Inflation remains above Fed's 2% target, delaying rate cuts. How this impacts GOOGL and the broader market.
Inflation remains above 2%, keeping the Fed on hold amid geopolitical shocks and tariff uncertainty. Analysis of the policy outlook.
Singapore analysts see Bitcoin ETF outflows as healthy consolidation, not a structural shift. But Strait of Hormuz risks could fuel inflation and crypto volatility.
April's 6% CPI surge and hawkish Fed fears pressure bitcoin despite ETF inflows. Expert analysis inside.
The US 10-year Treasury yield jumped 2.68% to 4.481%. Our analysis explores the drivers and implications for risk assets, inflation, and Fed policy.
The VIX surged 3.43% after a two-part inflation shock. We analyze the triggers, market implications, and what this means for volatility ahead.
UK gilts rally as 10-year yield drops 7bps. Analysis of market drivers and forward outlook for bond investors.
The Nasdaq rally hits a wall as inflation fears resurface. Original analysis on market dynamics and Bitcoin correlation.
April PPI surges 1% MoM, the highest since March 2022. Arthur Hayes links AI competition to crypto gains, predicting $126K BTC.
Hotter-than-expected PPI data sends shockwaves through luxury sector, prompting Barclays downgrade.