News

Net profit for the three months ended March slid 64% to $90 million, the company said Thursday, widely missing the $230 million estimated in a FactSet poll of analysts. Lenovo attributed the weakness ...
An earlier rise for long-term Treasury notes followed Moody’s downgrade of the U.S. credit rating, raising national debt ...
Stocks fell and bond yields rose as concerns over the U.S. deficit and credit rating downgrade shook investor confidence.
Financial markets are once again focused on Washington, D.C., but taxes, not tariffs, are driving recent price action.
Deteriorating consumer sentiment is a sign that the US risks a "self-fulfilling confidence collapse," Doug Ramsey said.
Learn the differences between S&P 500 and total market index funds across key factors, including volatility, growth, past ...
History shows that pullbacks can provide buying opportunities for savvy investors. Understanding a few key market indicators ...
U.S. equity markets extended their momentum last Friday, with the S&P 500 posting its fifth consecutive gain. All three major ...
Stocks clocked in strong weekly gains, erasing their 2025 losses and turning positive year-to-date. The Dow Jones Industrial ...
DIA: Financials (20%), Industrials (18%), Healthcare (16%) (SPDR).
Trump later heaped praise on the president, calling him a ‘tough guy,’ and urged Ahmed al-Sharaa to normalize relations with Israel. Powell Takes the Stage. This Time, He’s Talking About the ...
The S&P 500 edged higher and bond yields continued their recent climb Wednesday, with optimism about potential trade deals and U.S. economic resilience wavering ... the Nasdaq Composite gained 0.7%.