Oil at $100, Credit Markets on Watch: What Corporate Bonds Reveal
WTI crude surged above $100 after Iran ceasefire talks collapsed. Here is what corporate bond spreads reveal that equity markets may be missing.
WTI crude surged above $100 after Iran ceasefire talks collapsed. Here is what corporate bond spreads reveal that equity markets may be missing.
AI’s voracious electricity appetite is breathing new life into nuclear power. Here’s how data centers are reshaping the nuclear investment landscape in 2026.
Wall Street’s top trading desks are on pace for one of their best quarters in years as geopolitical turmoil, tariff uncertainty, and market volatility fuel record activity across equities, bonds, and commodities.
TSMC reports Q1 2026 results on April 16. Revenue trends, CoWoS capacity, and HPC guidance will reveal the true health of AI infrastructure spending.
Fastly plunged 22%, Akamai fell 17%, and Cloudflare dropped 14% in a single session. Here’s what’s driving the CDN sector’s brutal selloff in Q1 2026.
Wage growth inequality is at its widest since 2015. Here’s what the widening divide means for consumer credit, retail, and capital markets.
U.S. consumer sentiment has sunk to its lowest point in 70 years amid war, energy inflation, and stagflation fears. Here’s which stocks face headwinds — and which benefit.
March 2026 CPI data came in below forecasts, sending bond yields lower and reviving expectations for Fed rate cuts later this year.
Kevin Warsh’s expected Fed Chair confirmation hearing has been delayed. Here’s what the nomination snag means for bonds, the dollar, and equities.
Millions are losing weight on GLP-1s and refreshing their wardrobes. Wall Street is only beginning to price what this means for retail stocks.