After three years of double-digit gains, history suggests 2026 returns may be subpar. But a potential Iran peace deal and AI momentum could change the narrative.
Bank of America analysts highlight top stock picks including Visa, Zeta Global, Sprouts Farmers Market, United Rentals, and Citigroup with significant upside potential.
AI is reshaping global stock market rankings, with Taiwan and South Korea surpassing Western peers. A deep dive into the winners and losers.
Polymarket launches prediction markets on private companies using Nasdaq Private Market data, giving retail traders exposure to unicorns like OpenAI and Stripe.
Bank of America survey shows 62% of fund managers expect 30-year yields to hit 6% as inflation fears push yields to 19-year highs.
As senior researchers leave the Ethereum Foundation, institutional ETH inflows surge. We analyze whether governance churn or capital flows will define ETH's 2026 trajectory.
Goldman Sachs exited all XRP and Solana ETF positions in Q1 2026, while retaining $690M in Bitcoin ETFs. The move signals a structural shift toward large-cap crypto.
Goldman Sachs fully exited XRP and Solana ETFs in Q1 2026, while slashing Ethereum exposure and boosting stakes in Coinbase and Circle.
Goldman Sachs exited XRP and Solana ETFs in Q1 2026, while boosting stakes in Circle, Galaxy Digital, and Coinbase. A strategic pivot from altcoins to Bitcoin and crypto equities.
Japan's 10-year JGB hits 28-year high while brokerages prepare crypto trusts, signaling a shift in retail investment landscape.
Hyperliquid's HYPE token surges as pre-IPO perpetuals offer retail investors early access to high-profile tech listings, challenging traditional secondary markets.
The S&P Kensho Global Space Index surges 33% YTD, outpacing the broader market. We analyze the drivers, risks, and what comes next.
South Korea invokes emergency arbitration to block Samsung strike. We analyse the market implications and what it means for investors.
The Dow Jones experienced a dramatic reversal, falling 1% before surging 370 points to reclaim 50,000. Our analysis explores the whipsaw and what it means for markets.
Boeing lands 200-jet order from China as Trump-Xi trade detente sparks record S&P 500 close above 7,500. Original analysis on aerospace revival.
S&P 500 closes above 7,500 for first time as US-China trade tensions ease. Xi and Trump signal cooperation, boosting markets.
Nasdaq drops 1.5% on inflation fears, while Cerebras Systems soars 68% in its debut. SpaceX IPO prospectus could arrive next week.
South Korea's Kospi crashes 6% from record highs, dragging Asian and European markets down. Expert analysis on what's next.
Kevin Warsh's Fed nomination reveals crypto investments, while Morgan Stanley's Bitcoin Trust ETF shows resilience amid market outflows.
Singapore analysts see Bitcoin ETF outflows as healthy consolidation, not a structural shift. But Strait of Hormuz risks could fuel inflation and crypto volatility.