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Stocks News

Stock market news, equity analysis, and investment strategies. Coverage of major indices, blue-chip stocks, and emerging market opportunities.

Tariff Shock: How 145% US–China Duties Are Repricing Global Markets
Stocks

Tariff Shock: How 145% US–China Duties Are Repricing Global Markets

A sharp jump in US tariffs on China to 145%, and Beijing’s retaliation, is jolting equities, FX, and volatility. Here’s what it means for traders and why this trade shock matters.

Oil Spike, Equity Slump: How the Iran Conflict Rewired Markets in a Day
Stocks

Oil Spike, Equity Slump: How the Iran Conflict Rewired Markets in a Day

A 9% surge in oil futures amid the Iran conflict rattled U.S. equities and revived stagflation fears. Here’s how the shock spread and what traders can learn from it.

China’s 125% Tariffs On US Goods: How Trade War 2.0 Is Roiling FX And Markets
Stocks

China’s 125% Tariffs On US Goods: How Trade War 2.0 Is Roiling FX And Markets

China’s jump to 125% retaliatory tariffs on US goods has reignited trade tensions, shaking FX, commodities, and equities. Here’s what it means for markets and active traders.

Risk-On Revival: How Easing Geopolitical Stress Is Lifting U.S. Stock Futures
Stocks

Risk-On Revival: How Easing Geopolitical Stress Is Lifting U.S. Stock Futures

As peace hopes cool oil and the dollar, U.S. stock futures and risk assets are stabilizing. Here’s what this shifting risk backdrop means for traders and SimFi strategies.

Iran Peace Hopes Ignite Global Futures Rally As Nikkei Soars 5%
Stocks

Iran Peace Hopes Ignite Global Futures Rally As Nikkei Soars 5%

Peace headlines around Iran sparked a sharp risk-on move, sending global index futures and Japan’s Nikkei higher while safe-haven demand eased. Here’s what it means for traders.

Futures Find Their Footing: Oil Shock, Recession Fears, and the Next Move for Risk
Stocks

Futures Find Their Footing: Oil Shock, Recession Fears, and the Next Move for Risk

US stock-index futures are stabilizing after an oil-driven plunge, as traders weigh recession risks against the prospect of earlier Fed cuts and shifting risk sentiment across global markets.

Oil Surge, Middle East Tensions, And The New Risk Regime For U.S. Stocks
Stocks

Oil Surge, Middle East Tensions, And The New Risk Regime For U.S. Stocks

A sharp spike in oil tied to Middle East tensions is reshaping equity, futures, and rate expectations. Here’s how the shock travels through markets and what traders can do about it.

Oil Spike Meets Soft PPI: Why US Stocks Just Flashed a Stagflation Warning
Stocks

Oil Spike Meets Soft PPI: Why US Stocks Just Flashed a Stagflation Warning

US stocks slid as a downside PPI surprise collided with a sharp oil surge, reviving stagflation and recession fears and driving investors into safe havens like gold.

Nasdaq 100 and S&P 500 Futures Wobble Under Rate and Oil Shock
Stocks

Nasdaq 100 and S&P 500 Futures Wobble Under Rate and Oil Shock

Equity index futures are struggling to stabilize as a PPI surprise and oil spike hit rate expectations, volatility, and cross-asset sentiment. Here’s what traders need to understand now.