European futures
- UK FTSE futures: -0.28%
- Euro Stoxx futures: -0.23%
- French 40 futures (CAC): flat
- Ibex futures:-0.11%
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CSX up 10% despite revenue miss; XPO beats estimates, up 1.2%. WERN down 27.1% on revenue miss.
Consumer discretionary stocks tumble 7.7% post-earnings. MATW down 7.4%, FLWS down 18.9%, POOL down 19.3%. CSV up 8% revenue, but down 4.8%.
MLTX stock down 60% YTD, but fund buys $28M. High risk, potential reward in clinical trials.
VOYA's 12% loss vs S&P's flat return. Mediocre growth, but TBVPS up 17.8%. 6.7x P/E valuation too risky.
US shale producers eye $63.4B cash boost at $100/bbl oil, but volatility risks linger.
Oil prices hover near $95-$100 amid Middle East supply risks & strategic reserve releases. Volatility reigns.
Oil dips 4% to $94.75, easing inflation fears. S&P 500 jumps 1.2%. PTON, OPEN, LEVI rally.
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