JPM sued for allegedly enabling $328M crypto Ponzi; investors lost big, highlighting fraud risks.
CRL's 10.5% gain is nice, but declining ROIC & stalled revenue growth at 15x P/E raise risk.
Middle East conflict boosts energy stocks & Argentina's trade surplus. Oil over $100 drives risk aversion.
On the Beach shares drop 12% on M.E. conflict fears; profit forecasts suspended despite asset-light model.
IBTA's 23.3% revenue growth & 47.8% FCF margin boost its 15.7x P/E. MIDD's EPS contracted 2.3%, ROOT's book value fell 24.6%.
MCW, NVR, T show weak sales & falling EPS. High debt & low returns signal caution.
Oil futures surge 6% on Iran war fears, Adobe faces 22% YTD loss, Honda takes $15.75B EV hit.
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