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MARO delivers a huge 125% yield via a high-risk options strategy tied to MARA, with limited upside and inconsistent payouts.
Canadian Natural Resources excels with low-cost oil sands, strong gas exposure via LNG Canada, and top-tier cash flow returns ...
Whereas the average S&P 500 bear market has resolved in 286 calendar days (about 9.5 months) over a nearly 94-year period, ...
India VIX, introduced in 2008, measures expected market volatility using Nifty option prices. It rises with investor fear and falls during rallies, showing a strong inverse correlation with the Nifty ...
Daniel Yan warns SBET’s equity-funded ETH spree may not mirror MicroStrategy’s success, risking Ethereum’s price amid short-term dilution pressure.
Monarch’s historical susceptibility during economic downturns, as the stock has demonstrated considerable drawdowns in ...
While the U.S. stock market has rebounded, the combination of the Trump tariffs, a volatile dollar and an erratic bond market ...
"This is what the beginning of a new bull market looks like," Morgan Stanley's CIO said, adding that earnings look resilient ...
Blue-chip stocks are publicly traded shares of well-established, mature, financially stable companies that have a long-term history of consistent positive performance. Most blue-chip stocks are ...
Trading in India's weekly equity index options has slumped by a third since the country's market regulator banned U.S.
As we enter July 2025, global markets continue to grapple with heightened geopolitical tensions, volatile trade policies, and ...
The S&P 500 index SPX chart is strong and the market internals - while overbought in some cases - generally remain positive. There is now resistance at 6,300, while several support areas are evident: ...