
Stock Markets Anticipate Nvidia Earnings and Fed Symposium
Stock futures are climbing as investors await Nvidia's earnings report and the Federal Reserve's symposium, with Tokyo stocks also rising on dip-buying of tech shares.
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Stock futures are climbing as investors await Nvidia's earnings report and the Federal Reserve's symposium, with Tokyo stocks also rising on dip-buying of tech shares.
The London market began trading sessions with broad gains, as the FTSE 250 index was particularly buoyed by strong performances from domestic housebuilding companies.
The S&P 500 and Nasdaq futures recovered as investors positioned themselves ahead of Nvidia's quarterly earnings report and the Federal Reserve's annual policy meeting at Jackson Hole.

Global stock markets displayed mixed reactions, with Seoul stocks ending higher, while other Asian equities fell amid AI-related concerns and Middle East tensions. Investors worldwide are closely watching Nvidia's upcoming earnings report and new inflation data, contributing to market nervousness.
The Indian stock market saw a recovery, with the Sensex rising 200 points from its day's low and the Nifty climbing above 24,150, as markets pared earlier losses.
Stock market indices concluded the trading day with losses, indicating a downturn in market performance.
An analysis reveals that several Nifty giants in the Indian stock market have delivered negative returns to investors over the past five years. This period marks the worst performance for Indian stock markets in two years, and the worst since 2012.
Indian stock markets are experiencing subdued activity as persistent tensions in the Middle East and the impending Nifty expiry weigh on investor sentiment.
Shein's stock market listing will not mask sustainability challenges Reuters
Analysts warn that a 'perfect storm' of macro risks is leaving stock markets vulnerable, despite some arguing against selling the Oslo Stock Exchange. Rising interest rates are identified as a key threat to stock performance.

Stock markets are experiencing mixed performance, with European indexes showing muted opens. Specific companies like RXO and Xpeng are seeing dips, while Rumble, Bitmine Immersion Technologies, and Strategy are rallying.

Nvidia's stock has seen a decline, extending to a seventh consecutive drop, as investors and analysts keenly await its upcoming earnings report on August 26. The report is widely viewed as a significant catalyst for the broader AI and chip stock market.

The Dow Jones Industrial Average edged higher during midday trading on August 24, while weakness in the chip sector put pressure on the Nasdaq Composite.

Cantor Fitzgerald remains optimistic about the stock market, citing the ongoing boom in artificial intelligence technology as a key driver for its positive outlook.

Stock markets in Turkey, Norway, Israel, and India closed lower, while Denmark and Australia saw their markets close higher. The BIST 100, Oslo OBX, TA 35, and Nifty 50 all experienced declines, contrasting with gains for the OMX Copenhagen 20 and S&P/ASX 200.

Increasing numbers of observers are expressing concerns about a potential stock market bubble, with analysts questioning the broader implications of recent market dips, including Walmart's worst day since 2022 despite an earnings beat, revealing cracks in consumer spending.

A Bulgarian article suggests that despite historical advice against investing in Europe, the current skepticism among investors towards the continent means that top-performing companies in the region are often undervalued, presenting potential stock market gains.

Fast fashion retailer Shein is preparing for an initial public offering on the Hong Kong Stock Exchange, with an estimated valuation of $27 billion. This IPO comes after a significant decrease in the company's value from its peak.

AI startup Anthropic has achieved a $65 billion run rate, attracting significant attention from investors and prompting advice on related stock market opportunities.
European stock markets experienced a downturn, primarily driven by a slump in the technology sector. Investors also kept a close watch on developments related to Iran sanctions, which contributed to market uncertainty.
As the stock market enters a significant week, it's clear that the market is no longer solely driven by AI, and bond volatility indicates that catalysts are not limited to positive developments.
The Indian stock market experienced a downturn, with the Sensex falling 550 points from its day's high and the Nifty trading near 24,150, as key reasons behind the decline were analyzed.
The Indian stock market saw gains, with the Sensex rising 200 points and the Nifty climbing above 24,300, attributed to value buying among other factors.
Indian stock markets extended cautious trading as investors reacted to growing concerns regarding potential sanctions against Iran.
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An analysis compares Oracle and Amazon as potential investment opportunities in the AI cloud stock market for the next five years.

Stock markets in the Gulf region experienced a surge, mirroring a rise in oil prices, as investors reacted to growing concerns over potential sanctions against Iran.

For investors feeling nervous about the current stock market, historical data provides encouraging news for those with a long-term investment horizon.
Nvidia is positioned as the core of the artificial intelligence boom and the stock market, facing a significant test with its upcoming earnings report on Wednesday, impacting a broad range of companies.

An article compares Micron and SanDisk, evaluating which company represents a better investment opportunity in the burgeoning AI memory stock market.

South Korean investors, drawn into a market frenzy, have experienced significant losses following a 30 percent decline, leading to investor trauma that could take years to overcome.
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Arab News provides coverage and updates related to TASI, the main stock market index in Saudi Arabia.
A week marked by significant global market anxiety has led to a decrease in stock market values worldwide. Concurrently, the price of gold has seen a substantial increase, reflecting its role as a safe-haven asset during times of economic uncertainty.

An analysis explores the potential resilience of U.S. stock markets in the face of anticipated volatility surrounding the upcoming midterm elections.
Historical patterns suggest a strong performance for the stock market in the period following midterm elections, offering potentially good news for investors this year.

An analysis explores Warren Buffett's playbook, offering guidance on a crucial action investors should take if a stock market crash is anticipated.

Despite a volatile third week of August, the Greek stock market saw several shares resist fluctuations and drive the market to new 17-year highs.

The Indonesian stock market, represented by the IHSG, gained 1.93 percent to close the week at 6,525, with market capitalization expanding by 1.83 percent to Rp11,449 trillion.
Stock markets are showing gains in anticipation of a significant week for Nvidia and upcoming announcements from the Federal Reserve.
Stock markets experienced a rally but ultimately ended a volatile week lower on August 21, 2026, with analysis from financial experts.

Tesla's stock saw gains following the approval of a permit for its robotaxi operations in Nevada, indicating progress in its autonomous driving initiatives.
This article serves as a general portal for business news, economic updates, and Indian stock market information from Moneycontrol.com.
An analysis explores the potential threshold for rising Treasury yields and their impact on the stability of the stock market.
Upcoming Nvidia earnings and the Jackson Hole economic summit are anticipated to be key events that will test the current stock market rally. Analysts are watching to see if Nvidia's performance can rescue a stalling market and how Treasury yields will react to economic discussions.
The US equity market is showing signs of being in bubble territory, with several metrics suggesting a likely bust before the end of 2027.

The Greek stock market has made a full comeback, climbing above 2,600 points and reaching new 17-year highs despite various external uncertainties.
Stocks are poised for a higher open on Friday, aiming to rebound after a significant rate-driven pullback experienced on Thursday.
The Vietnamese stock market has seen a significant surge, climbing nearly 34 points, accompanied by improved liquidity.

The Greek stock market saw a rebound, with buyers pushing the market back above the 2,600-point threshold. Banks led the charge, while Motor Oil approached 60 euros.

An analysis of the S&P 500's Cyclically Adjusted Price-to-Earnings (CAPE) ratio indicates that the U.S. stock market may experience weak real returns over the next decade.
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This article provides a broad overview of current business, economic, and Indian stock market news.

Global stock markets, including Seoul shares, opened lower as rising US bond yields continued to impact investor sentiment. The increase in bond yields is seen as a significant factor for stock investors.

Asian stock markets showed mixed performance at the close of trade, with Japan and Australia experiencing declines while Taiwan saw gains. Mexico's S&P/BMV IPC also closed higher.
The stock market indices concluded the trading day with losses.

A manipulated email could trigger a police report against Jesper 'Kasi' Nielsen, as business news outlets monitor the latest developments and stock market movements.

Asian stock markets saw a rebound, with South Korea's KOSPI rising, though weekly losses continued to linger due to ongoing risks in bond and oil markets.

Europa Holdings' stock is showing renewed strength on the Greek stock market, attempting to reclaim the €1.7 threshold after a period of volatility.

South Korea is confronting the psychological impact of intense stock market speculation, which has led to a range of emotions from euphoria to despair among investors.
Global stock markets are poised for their largest weekly decline since mid-July, influenced by persistently high bond yields and elevated oil prices.

Financial commentator Jim Cramer has expressed concerns about the stock market, suggesting that a booming sector could put pressure on other areas.

A commentary suggests that the Chinese film 'Niu Lai' (Here Comes the Bull) ironically serves as a good guide to China's stock market, reflecting a nation perpetually waiting for a bull market.

Stock markets settled lower as increasing crude oil prices fueled concerns about inflation, impacting investor sentiment.
US stock markets experienced a decline as bond yields rebounded and oil prices increased, despite efforts by the Treasury to push for lower interest rates.
Analysts are warning that rising bond yields pose a significant threat to the stock market, potentially bursting what they describe as an overextended equities bubble.
U.S. stock markets experienced a downturn after several companies released weaker-than-expected earnings reports, impacting investor sentiment.
Investors react positively to equity markets despite falling crude prices, closely monitoring developments in Iran and awaiting upcoming Nvidia earnings data.

Several macroeconomic reports and corporate events scheduled for August 26 are expected to drive significant trading activity and directional moves across global equity markets.

The Greek stock market is eyeing new peaks at 2,640 units, with a primary scenario of accumulation at 17-year highs. All attention is focused on companies like Motor Oil and Metlen.

European stock markets are advancing, driven by a drop in oil prices, with Siemens Energy stock notably climbing. Woodside Energy Group also saw its stock rise.

Korea's stock market may be starting to shed its long-standing discount, but the Kospi's sharp rally has yet to translate into a market rerating, according to a senior Nomura economist.
The Indian stock market will remain open on August 26 despite Eid-e-Milad, with the BSE and NSE observing only a settlement holiday. Trading will continue as usual, while clearing and settlement activities will remain suspended.

ELVE's stock has experienced a sudden rally, reaching its highest point in 4.5 years on the stock market.
A significant transaction saw 400,000 shares of OCM change hands on the Trinidad and Tobago stock market.
A new analysis suggests that the current stock market may be significantly overvalued.

Donald Trump threatened to double tariffs on Canadian auto imports and proposed a new $100,000 H-1B visa fee, while the U.S. also announced expanded sanctions to isolate Iran under 'Operation Economic Outcast'.

Nvidia customers are reportedly facing a 15% price shock for AI products, while stock markets are bracing for a potential double blow if both Nvidia and the Federal Reserve fail to deliver on expectations.
The Chinese company Shein is finally set to launch on the stock market, seeking to raise approximately 1.5 billion euros, with its valuation expected to reach up to 27 billion dollars.

Stock markets in the United Kingdom, Spain, Portugal, and the Netherlands all closed higher, with the Investing.com United Kingdom 100, IBEX 35, PSI, and AEX indices recording gains.
This report provides the latest updates on the Bombay Stock Exchange and global stock market news.

The stock market has experienced a rare event, occurring only for the second time in 145 years, with historical patterns suggesting what might come next for investors.

Several companies, including The9, NAPCO Security, PDD (Temu-owner), Lalithaa Jewellery Mart, and Data3, have seen their shares surge after reporting strong quarterly earnings. These positive financial results have led to significant stock market gains.
Morningstar analyzes the potential effects of Europe’s extreme weather conditions on its stock markets and overall economy.
The Indian stock market experienced a mixed close on Monday, with the Nifty index failing to hold the 24,200 level, while metal stocks showed strong performance.

A single sentence within the recently released Federal Reserve meeting minutes has reportedly caused significant concern for Fed Chair Kevin Warsh and the stock market, indicating potential instability or unexpected policy implications.

US stock markets advanced on Friday, recovering some losses from the week, as the Eurozone economy continues to show strong performance.

Both the Taiwan and Russia stock markets closed lower, with the Taiwan Weighted index down 1.00% and the MOEX Russia Index unchanged. This indicates a general downturn in these markets at the close of trade.

Wall Street is closely watching Nvidia's upcoming earnings results, expecting them to significantly impact the tech sector and broader stock market due to the company's strong position in the AI industry.
Shares of Data3 and Ampol are both experiencing significant surges in the stock market today, prompting investor interest in the reasons behind their performance.
India's equity capital market is experiencing its best month on record in August, with a $10 billion equity rush driven by ample domestic liquidity fueling demand for new shares, despite a generally lackluster stock market.

Jim Cramer points out a 'jarring gulf' between the performance of the stock market and the underlying economic realities, suggesting they are telling two very different stories.
US stocks saw gains, trimming losses from a volatile week, while the Australian stock market (ASX) is projected to open higher, with the Australian dollar and Bitcoin also strengthening.
An analysis highlights Nvidia's critical position as the driving force behind the current AI boom and its significant influence on the broader stock market, setting up a major test for its future performance.
Stock markets in the Gulf region experienced a rise, with positive sentiment driven by recent gains in oil prices.
A generic news portal headline providing updates on business, economic news, and the Indian stock market.
The article provides real-time stock prices and charting data for the Tadawul All Share Index (TASI), the primary stock market index in Saudi Arabia.
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Unitree, a leading Chinese robotics company known for its advanced humanoid robots, experienced a successful and prominent debut on Shanghai's stock market.

Analysts are closely watching Nvidia's upcoming earnings report, with expectations that the AI chip maker's performance could significantly influence the stalled stock market. Oppenheimer has issued a direct message regarding Nvidia stock ahead of the earnings release.

Warren Buffett has issued a concise 10-word warning to investors regarding the stock market, indicating his continued influence on investment decisions.

This article suggests that if a stock market crash is imminent, historical data indicates that buying and holding specific stocks can be a smart investment strategy. It provides advice on navigating market downturns.

Despite the typical volatility of a midterm election year, there is surprisingly good news emerging for the stock market.

A strategist cautions that increasing bond yields could push the stock market to the verge of a 20% decline.
Nepal's stock market continues to face pressure due to weak demand, as reported by The Kathmandu Post.
South Korea is confronting the significant emotional impact and societal consequences stemming from widespread stock market speculation.
Moneycontrol.com offers a broad range of business news, economic updates, and information on the Indian stock market.

The current earnings season is marked by significant fluctuations in company financial results and subsequent stock market reactions, indicating ongoing market uncertainty.

Stock markets across several European countries and Russia closed higher, with indices like the MOEX Russia, Investing.com United Kingdom 100, IBEX 35, and PSI all showing gains. The positive trend was observed across various major European exchanges.
A report details the performance of major US stock indexes on Friday, August 21, 2026, providing an overview of how the market fared on that specific trading day.

The US dollar concluded trading with little change in value, while the stock market experienced a rally, indicating mixed movements in the financial markets.
Major Wall Street indexes opened higher on Friday, showing a rebound after significant declines, but a surge in yields ultimately set the stage for overall weekly losses in the US market.

Financial commentator Jim Cramer has publicly shared his definitive opinion on the future direction of the stock market.

The stock market is approaching its highest valuation in history, prompting warnings that the last time it reached such expensive levels, it subsequently experienced a crash.
Major US stock markets experienced difficulties in finding a positive close for the week, reflecting broader economic uncertainties.
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US stock futures are showing a rebound after a significant sell-off on Wall Street, which was triggered by rising Treasury yields. European markets also saw some stabilization following the previous day's declines.
An analysis suggests that significant stock market bargains can be found in overlooked or undervalued sectors, offering opportunities for investors.
Autonomous aerial vehicles are seeing increased deployment, and market forecasts predict significant growth potential, creating investment opportunities for risk-tolerant investors in drone companies.
The Dow, S&P 500, and Nasdaq posted weekly losses as bond market volatility remained a key focus, while Bitcoin experienced a significant surge.
European stock markets experienced their largest gains since early August following the release of stronger-than-expected business activity data.
This article provides a general overview of business, economic, and Indian stock market news.

An article provides an outlook on whether the S&P 500 index is expected to open higher or lower today, reflecting general market sentiment.

An analysis examines the implications of the recent surge in bond yields for the stock market and investor strategies.

Asian stock markets have experienced a slide due to stress in the bond market, raising questions about the continued rally of safe-haven assets like Bitcoin and gold.

Financial commentator Jim Cramer has expressed concerns about potential trouble brewing for the stock market. His remarks suggest a cautious outlook on the current economic and investment landscape.
South Korea is confronting the significant emotional toll experienced by investors, ranging from euphoria to despair, amidst the country's recent stock market mania.
Indonesia plans to eliminate the 50 rupiah minimum price for listed stocks, a move expected to impact the country's stock market.

CrowdStrike's stock has seen a decline, even as the cybersecurity company's business performance appears to be improving. Analysts are examining the factors contributing to this divergence between stock market valuation and operational growth.

Webull's stock initially surged by 14% before closing 2% higher, following the announcement of record second-quarter revenue and an earnings beat.
Higher bond yields are proving to be a stumbling block for the stock market and are also impacting municipal bonds, with Texas being highlighted as a key example. This trend suggests potential challenges for investors in both sectors.
The main stock market index in Greece concluded trading just under the 2,600 point mark.

Advisors are increasingly directing investments towards private markets due to the high valuations observed in public stock markets.
This article provides live market data for NSE Nifty, Sensex, and other Indian stock market indices.
A key Wall Street metric measuring market turbulence has reached its maximum threshold of 1, a condition that historically precedes sharp increases in stock market volatility.

Long-term historical data suggests that current equity valuations place the US stock market in one of its least appealing periods for new capital deployment.
European stock markets experienced a climb following news of sanctions relief for Iran and strong performance in the defense sector. This positive movement reflects investor reactions to geopolitical developments and industry trends.
Oslo Børs experienced an upturn, with Kitron shares rising significantly following an upgraded outlook. Meanwhile, CrediaBank is reportedly heading towards 1 euro on the stock market.

Stock markets across various regions, including Australia, Taiwan, Mexico, and Colombia, closed with mixed results. While some indices saw gains, others experienced slight increases or decreases.
Oil prices saw an increase as traders evaluated the impact of new U.S. measures targeting Iran. This rise occurred while stock markets experienced some volatility.
Somil Mehta, Head of Retail Research at Mirae Asset ShareKhan, has recommended Jindal Steel, Bajaj Auto, Engineers India, and NMDC as top stocks to buy today, August 25, 2026.
The S&P 500 experienced a slip as tech stocks tumbled on Monday, with CNBC set to feature United Airlines CEO Scott Kirby on Tuesday morning to discuss market-moving stories.
An analysis published by Morningstar suggests that the current stock market is significantly overvalued, prompting concerns among investors.
U.S. stock markets experienced a climb in value, coinciding with a significant dive in bond yields.
Stock markets and crude oil prices fell as investors await further clarification on upcoming United States sanctions targeting Iran. The uncertainty has prompted cautious trading across major financial indices while diplomatic channels remain active.
The FTSE 100 Index closed 0.35% higher at 10854.32, while the CAC 40 Index ended the day 0.37% lower at 8453.01. This data reflects mixed performance across major European stock markets.

Stock markets in Italy and Germany ended the trading day lower, with the Investing.com Italy 40 index down 0.28% and the DAX index down 0.07%.

Poland's stock market closed higher, with the WIG30 index recording a 0.31% increase at the end of trade.
Moneycontrol.com has published a range of articles covering business news, economic news, Indian stock market updates, and general news from India. The platform also features top stories and opinions on personal finance and economics.
Former Ukrainian President Leonid Kuchma stated that the primary reason for the problems encountered during the privatization process in the 1990s was the absence of a functioning stock market.

An investment expert suggests a specific ETF to consider for purchase if a stock market crash is anticipated, offering a strategy for navigating potential economic downturns.

This article provides a look at Monday morning's market action, offering Canadian investors key insights into pre-market trends and what to expect for the trading day. It covers various factors influencing the Canadian stock market.
The S&P 500 and Nasdaq experienced declines today as tech stocks underperformed and talks between the US and Canada reportedly broke down.
The Rausing family, heirs to the Tetra Pak fortune, sold over $1 billion in US equities during the second quarter, joining other wealthy investors in reducing their exposure to the world's largest stock market.

Asian stock markets fell on Monday as investors remained cautious ahead of new US sanctions against Iran, Nvidia's earnings report, and the central bankers' meeting in Jackson Hole.

Stock market activity saw Endeavour's shares decline, while MMG's stock experienced a rise. These movements reflect specific company-related news or broader market trends impacting the mining sector.

Zhu Yiming, the founder of the Chinese chipmaker CXMT, has led the company to a remarkable stock market debut in late July. The company's success is attributed to Yiming's ingenuity and patents from a defunct German chip manufacturer.
The VN-Index, Vietnam's benchmark stock market index, is projected to increase and likely reach between 1,820 and 1,840 points during the upcoming week.

UBS has updated its S&P 500 target for the remainder of 2026, citing stronger corporate profits as a key factor influencing stock market projections. This revision reflects the firm's latest analysis of market conditions.

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A guide titled 'The Idiot’s Guide to Stocks' offers fundamental information for individuals new to stock market investing.

A report suggests that a significant bubble on Wall Street, unrelated to artificial intelligence, may be on the verge of popping, potentially leading to severe consequences for the stock market.
Korean retail traders are actively pursuing high-yield 40% coupons despite a historic stock market rout. Their continued risk appetite is evident in the search for lucrative investment opportunities.

An analysis explores what former Federal Reserve Chairman Alan Greenspan might say about the current state of the stock market.

The Russian stock market experienced a decline at the close of trade, with the MOEX Russia Index remaining unchanged.

The KSE-100 stock market index ended the week 1.6% lower, dropping by 2,938 points, primarily due to uncertainty surrounding the Strait of Hormuz and domestic political noise.
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An analysis suggests surprisingly good news for the stock market's performance during the current midterm election year.

Billionaire investor Leon Cooperman has cautioned that the current artificial intelligence boom bears similarities to the 'Nifty Fifty' stock market bust of the 1970s.

Warren Buffett's recent warning about the stock market is discussed, with an analysis of historical patterns suggesting potential future outcomes for Wall Street.
An article delves into whether Nigeria's stock market performance is a true reflection of economic health or merely a 'mirage' when measured against the dollar, offering an in-depth financial analysis.
Altus has launched its public beta, offering 24/5 US stock trading funded with USDC on the Solana blockchain. This new platform aims to provide continuous access to the stock market.
This story provides updates on business news, economic developments, and the latest information from the Indian stock market. It covers a range of financial and economic topics relevant to India.
The stock market experienced a decline, with industrials and utilities sectors notably falling, according to a market wrap.

Global stock markets concluded trading higher as crude oil prices showed signs of stabilization, contributing to a positive sentiment among investors.
U.S. stock markets concluded the trading day with gains, reflecting positive investor sentiment.

Global stock markets concluded a challenging week with declines as investors reacted to persistently high bond yields and rising oil prices. Despite these pressures, some stocks showed resilience.
Morningstar examines the implications of Europe's recent extreme weather events on the region's stock markets and overall economic performance.
Eyewear company Synsam boasts significant growth, attributing part of its success to the 'Haaland effect,' leading to a positive stock market performance.
Global stock markets, including the Dow, S&P 500, and Nasdaq, traded higher today, with gains attributed to a surge in cryptocurrency and commodities.

A global sell-off in the bond market this week, driven by rising yields, has put pressure on stock markets and investors, leading some to seek alternatives like Bitcoin and gold.
This article provides a general overview of business, economic, and Indian stock market news.

Benzinga published an article highlighting top-performing stocks, offering insights into market leaders and providing access to its stock market research platform.

Several stocks, including ROST and FLO, experienced significant movement on Friday, impacting the market.

The bond market has exhibited a rare warning signal, observed only twice in the past two decades, prompting speculation about its historical implications for the stock market's next move.
T. Rowe Price Group Inc. fund manager states that Nigeria's stock market still offers investment opportunities, even after a 64% rally that positioned it as one of the world's best performers.

European stock markets are on track to record their worst weekly performance since July, pressured by rising oil prices and bond yields.
Sri Lanka's stock market indices closed in the red, reflecting a downturn in market performance.

After four days of losses, the DAX is expected to start the final trading day of the week with little dynamism, as the bond market, high energy prices, and inflation concerns continue to weigh on investor sentiment.
Money-market funds are playing a crucial role in providing liquidity and driving growth in the stock market, acting as a significant source of 'rocket fuel' for equities.
Technical Analyst Hitesh Rathi from Angel One has identified DLF, PG Electroplast Ltd, and Sansera Engineering as top stock recommendations for August 20, 2026.
South Korea is confronting the significant emotional impact of its stock market mania, with investors experiencing a range of emotions from euphoria to despair. The nation is reckoning with the psychological consequences of intense market speculation.

Asian stock markets concluded the week on a downbeat note, pressured by persistently high bond yields and elevated oil prices.

Former Federal Reserve Chief William Dudley issued a warning that the stock market is currently in bubble territory, coinciding with the Treasury's increased buybacks.
This article provides a general overview of business news, economic updates, and Indian stock market news from Moneycontrol.com.
Companies exposed to Australia's housing downturn are being tested this earnings season, with high interest rates and tax reforms dividing the stock market into distinct winners and losers.
Moneycontrol.com serves as a platform for a wide range of business, economic, and Indian stock market news, offering updates and analysis to its readers.
An analysis suggests that the bond market is poised to burst the current stock-market bubble.

Rising 30-year Treasury yields have been observed to coincide with gains in the stock market, suggesting a potential boost for certain stocks. This trend indicates a dynamic relationship between bond yields and equity performance.