Dow futures drop 350+ pts as Iran tensions rise. Oil jumps, stocks wobble. Risk-off sentiment prevails.
NBHC eyes earnings amid revenue misses. Market expects 25.9% growth, but past misses loom. Peers show mixed results.
S&P 500 offers ~10% avg return but lacks diversification. Top 10 holdings = 38% of index.
Jobless rate to hit 5.8% as Iran war sparks 250k layoffs. Energy costs and supply chain woes bite.
BIS warns stablecoins risk market fragmentation & stress. Global rules vital to curb arbitrage & runs.
CBSH eyes earnings with 10.9% revenue growth expected. Peers BancFirst & KeyCorp saw gains post-results.
EcoCeres' SAF offers 90% fewer emissions & stable pricing vs. volatile oil. Yields 85%.
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