ETH drops 13.57% in a week, breaking below $2,000. Standard Chartered warns of a potential fall to $1,400 before a long-term rally to $40,000.
AT&T's cryptic tweet about strategy sparks speculation on corporate crypto adoption, with market implications and regulatory angles explored.
Escalating US-Iran tensions and record ETF outflows sent crypto markets plunging, with Bitcoin below $73K and total market cap losing $80B.
Gold falls to two-month low, silver and platinum hit near one-month lows as strong dollar and rate hike fears weigh on precious metals.
Senator Lummis warns of 'regulatory dark ages' if CLARITY Act fails. The bill could unlock DeFi growth, as Standard Chartered ties Ethereum's $4K target to clearer rules.
Asian stocks fell sharply on Thursday amid Iran-US tensions, Bank of Korea hawkish signals, and record crypto ETF outflows. South Korea's Kospi faces reversal risk due to concentration.
European markets closed mixed on Thursday, with the Stoxx 600 falling 0.5% but defense stocks surging as Iran tensions escalate. Key gainers include Renk, Rheinmetall, and Exail Technologies.
Salesforce beat Q1 estimates but light guidance weighed on investor sentiment. CEO Benioff remains bullish, citing AI and revenue targets.
Polymarket restricts users in dozens of jurisdictions amid Brazil and Spain crackdowns, while denying mandatory KYC for existing service.
Oil prices jump 3% as U.S.-Iran conflict intensifies, with Strait of Hormuz threats and fresh strikes rattling global markets. Analysis of spillover effects on equities, currencies, and crypto.
New York Fed President John Williams speaks in Iceland, signaling a data-dependent Fed amid global economic shifts. Market implications for rate cuts.
High yield bond ETFs yield 5.85-6.6%, attracting income investors amid rate uncertainty. Analysis of HYG and JNK trends.
Kuwait activates air defenses amid missile threats from Iran. Oil surges 3% on Strait of Hormuz fears. U.S. strikes and sanctions escalate conflict.
President Trump opposes Russia or China taking Iran's highly enriched uranium, impacting oil markets and geopolitical risk. Analysis of the strategic and market fallout.
Goldman Sachs ups S&P 500 year-end target, citing strong earnings and resilient economy. What it means for investors.
Ethereum crumbles under $2K, whales distribute, and $80B evaporates from crypto amid geopolitical shocks. Technical breakdown and macro pressure signal near-term bearish dominance.
Despite a cooling crypto IPO market, Blockchain.com confidentially files for a US listing, signaling resilience amid regulatory and market headwinds.
Standard Chartered compares ETH's price dip to Amazon's 2001 collapse, citing strong on-chain metrics and a $40K long-term target.
The Dow Jones Industrial Average rose nearly 200 points to a new record high on Wednesday, fueled by a sharp drop in oil prices amid optimism over a potential truce โฆ
The 2-year Treasury yield steady at 4.057% signals market caution amid mixed earnings and economic data. Analysis of impact on stocks and bonds.