
The same investor just bought all three -- but only one of the charts looks like something went wrong.
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The same investor just bought all three -- but only one of the charts looks like something went wrong.

A major California utility is trading at a steep discount to the market, forcing investors to decide if the price reflects a temporary fear or a permanent flaw.

Bill Ackman once torched $400 million exiting Netflix, then swore off the stock entirely. Now he's building a new position while his fund trails the market badly, and his reasoning this time sounds nothing like 2022.

Stocks hit new highs. The S&P 500 gained 0.65% to a new all-time high. The Nasdaq ended up 0.8% and the Dow rose 69.7 points, or 0.1%. Another inflation reading came in cool. The producer-price index, which measures wholesale prices, was flat in July after falling by 0.

The fuel cell maker's earnings multiple is measured on a trailing year, while the guidance management has raised describes a far bigger business. That mismatch moves the buy decision onto delivery rather than demand.

S&P Global has underperformed the broader market over the past year, yet analysts remain highly bullish about the stock’s prospects.
S&P Global recently expanded its S&P Capital IQ Pro platform by integrating With Intelligence’s private markets data and editorial insights, following its 2025 acquisition, while also reporting higher second-quarter 2026 revenue, earnings and updated full‑year 2026 guidance including expected GAAP revenue growth, diluted EPS and operating margin expansion. This combination of deeper private markets coverage and AI‑enabled workflows means users can manage the full private investment lifecycle...
US home sales in July logged their strongest annual gain for the year, though certain key indicators
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