
Tech And Small Caps Try To Lead As US Equity Futures Steady
After a sharp oil- and geopolitics-driven selloff, US equity futures have stabilized as tech and small caps attempt a rebound, offering key lessons for traders in volatile markets.
Stock market news, equity analysis, and investment strategies. Coverage of major indices, blue-chip stocks, and emerging market opportunities.

After a sharp oil- and geopolitics-driven selloff, US equity futures have stabilized as tech and small caps attempt a rebound, offering key lessons for traders in volatile markets.

South Korea’s AI-fueled Kospi just fell into a bear market, pressuring Asia futures. Here’s what’s driving the selloff and how traders can navigate the new volatility.

An AI-led stock selloff has triggered quant funds’ worst performance since August, exposing crowded trades and offering valuable lessons on risk, crowding, and theme-driven markets.

Asian equities are climbing on a semiconductor rebound, but surging oil prices and inflation worries are keeping risk appetite in check.

A sharp semiconductor selloff and aggressive earnings repricing are dragging US indices lower, forcing traders to reassess tech valuations, sector risk, and rotation into energy and defensives.

The Dow hits fresh records as tech and AI names stumble amid sector rotation and a Nasdaq‑100 reshuffle. Here’s what the shift in leadership means for traders and investors.

SK Hynix’s oversubscribed $28B US listing is reshaping AI‑chip sentiment, driving cross‑border equity rotations and creating new trading opportunities in semiconductors.

US stocks are hitting fresh highs while the dollar and yields trade mixed, creating a nuanced backdrop for FX, index futures, and crypto traders.

Samsung’s 19‑fold profit surge couldn’t stop Asian stocks from easing or lift a weak yen, offering traders a real‑time lesson in valuations, positioning and cross‑asset risk.