Stocks making the biggest moves premarket: Oracle, AeroVironment, Nike and more
These are the stocks posting the largest moves in premarket trading.
Iran conflict: India Inc IPOs may face delays after stock market bloodbath
India entered 2026 with one of the largest IPO pipelines on record, with more than 190 companies either approved by or awaiting clearance from the Securities and Exchange Board of India to raise over Rs 2.5 lakh crore from the market.
Stocks making the biggest moves midday: Rivian, Hims & Hers, BioNTech, Vertex Pharmaceuticals & more
These are some of the stocks seeing the largest midday moves.
Surging oil prices could wipe out benefits from Trump’s ‘big beautiful bill’
Estimates from Wall Street project that if oil prices stay elevated for too long, consumers will lose as much as they gain from the new tax law.
Stocks making the biggest moves premarket: Kohl’s, Casey’s General Stores, Vertex Pharmaceuticals and more
These are the stocks posting the largest moves in early trading.
Currency, tax risks tempering private equity optimism in India, investors say
Private equity investors face challenges in India due to currency depreciation and high taxes. The Indian rupee has weakened against the dollar. Capital gains tax also impacts returns. While India’s growth outlook is strong, these factors limit investor gains. Fund managers must focus on operational improvements to boost returns. India’s lower leverage positions it better […]
Stocks making the biggest moves midday: Chevron, Hims and Hers, Xenon Pharma, Vertiv and more
These are some of the stocks posting the largest midday moves.
There’s another energy market that may get hit harder than oil by Strait of Hormuz closure
Roughly 20% of global LNG flows through the Strait.
Three bear markets in stocks were caused by oil shocks — Here’s how long they lasted
As the fallout in the oil markets from the U.S.-Iran war continues, here’s what severe oil shocks have done to the S&P 500 in the past.
The $100 oil playbook: How pro investors are investing around this energy shock
Many say the focus now is on maintaining exposure to equities while diversifying across sectors and regions that can better withstand inflation and volatility.