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The UK's midcap index was on course to snap an eight-day losing streak on Monday as housing stocks rose on positive comments from brokerage Goldman Sachs, while investors awaited the UK government's highly anticipated budget this week.

The most oversold stocks in the real estate sector presents an opportunity to buy into undervalued companies.

CNBC's Andrew Ross Sorkin reports on the 5 things to know on November 24, 2025.

Alan McKnight, CIO at Regions Wealth Management, discusses retail data, Fed cut expectations, and why markets are focused on clarity and broader growth into 2026.

Interest rates should be higher based on the Taylor rule, Thanksgiving air travel will be busiest in 15 years, and more news to start your day.

Good riddance November slump. Hello December bump?

What matters in U.S. and global markets today

Market bubbles carry a negative reputation because we witness the devastation in the aftermath of their collapse. However, from a broader perspective, market bubbles also carry active value.

The CNN Money Fear and Greed index showed some easing in the overall fear level, while the index remained in the “Extreme Fear” zone on Friday.

Actor Rob Lowe has finally managed to offload the Beverly Hills estate he has spent more than a year trying to sell—but by chopping a big chunk off his original asking price.

SPY appears to be highly valued relative to forward earnings, and too concentrated on "hot" AI and hi-tech stocks, warranting a SELL. Page-view data reveals crowd psychology, with high engagement for "hot" stocks regardless of valuation but considerably less interest in solid and reasonably priced companies like PGR, DECK, GRBK or NUVB.

U.S. markets enter a holiday-shortened week focused on key data, major earnings and Fed signals as tech weakness and mixed indicators pressure sentiment.

The U.S. stock market has delivered broad gains across nearly every major sector in 2025, but only one industry has recorded negative returns year-to-date.

Among the factors driving equity market swings recently and since summer, monetary policy – and very recently, the fear of a misstep in monetary policy – has been particularly powerful. In our view, fears around a near-term Federal Reserve ‘policy mistake', akin to, say, late 2018, have been an important factor driving markets recently.

U.S. stock futures rose ahead of Thanksgiving following last week's volatile trading, while international markets were mostly higher.

Nasdaq-100 futures lead gains, up around 1%

The U.S. said Sunday that there had been progress in talks at the weekend but that no agreement was reached on security guarantees for Ukraine.

Guy Johnson, Kriti Gupta and Skylar Montgomery-Koning break down today's key themes for analysts and investors on "Bloomberg: The Opening Trade." -------- More on Bloomberg Television and Markets Like this video?

Nvidia delivered stellar quarterly results, but market volatility and liquidity concerns overshadowed fundamentals, causing a sharp stock pullback. Current market weakness is driven by liquidity shortages and hypersensitivity, not by fundamental flaws in NVDA or the broader S&P 500.