News Hub

Real-time financial, economic, and global news with market-focused context and analysis.

Coverage spans equities, macroeconomic data, commodities, currencies, technology, politics, and global events—paired with analysis that highlights why each development matters for traders and investors. From breaking headlines to hourly market snapshots and in-depth articles, the News Hub is designed to help you stay informed, oriented, and ahead of market-moving events.

  • IMF urges the BOJ to continue measured rate hikes amid Middle East risks, rising oil and a weakening yen, keeping tightening on the table.
  • India resumes imports of Iranian crude to shore up supplies as Middle East disruptions tighten global flows.
  • Taiwan secures LNG assurances from a major supplier and a new US contract adds 1.2 million tonnes annually, keeping supplies stable.
  • Bitcoin holds near $67,000 on thin holiday liquidity and geopolitical pressure, signaling muted risk appetite among traders.
  • ISS urges shareholders to oppose BP's board move to remove past climate-reporting resolutions, raising governance scrutiny ahead of votes.
  • Three men charged over arson attack on Jewish community ambulances in north London, with counter-terrorism officers leading the inquiry.
  • France will offer up to €50,000 36-month loans at 3.8% to fuel-intensive small firms, applications open April 13.

Latest Articles

Figma CTO Disposes $1.54M in Shares Amid Volatile Stock Moves

Figma CTO Disposes $1.54M in Shares Amid Volatile Stock Moves

Figma Chief Technology Officer Kris Rasmussen sold 51,359 Class A shares on February 25, 2026, generating roughly $1.54 million. The trade was executed under a Rule 10b5-1 plan adopted in August 2025. The disclosure comes as Figma's stock has shown notable short- and medium-term swings and after the company posted stronger-than-expected fourth-quar…

G-III Apparel: Cash-Rich, Cheap, and Ready for a Re-rating

G-III Apparel: Cash-Rich, Cheap, and Ready for a Re-rating

G-III Apparel (GIII) is trading near the middle of its 52-week range but offers unusually strong free cash flow, a low debt load, recent dividend initiation and continued buybacks. These fundamentals plus an improving technical setup support a long trade with a clear entry, stop and target for a 180-trading-day time frame.

Morgan Stanley Seeks National Trust Charter to Custody Digital Assets

Morgan Stanley Seeks National Trust Charter to Custody Digital Assets

Morgan Stanley has submitted an application to the Office of the Comptroller of the Currency for a national trust bank charter intended to custody digital assets. The filing, dated Feb. 18, says the entity will provide trading and staking services to the bank's investment clients and will be based in Purchase, New York while serving clients across …

Neuronetics Executive Sells $4,626 in Stock to Cover RSU Tax Bill as Company Posts Strong Revenue Gains

Neuronetics Executive Sells $4,626 in Stock to Cover RSU Tax Bill as Company Posts Strong Revenue Gains

W. Andrew Macan, Executive Vice President, CLO and CS at Neuronetics, Inc. (NASDAQ:STIM), sold 3,427 shares on February 26, 2026 at a weighted average price of $1.35 for proceeds of $4,626. The sale, carried out to meet tax obligations tied to vested restricted stock units, reduced Macan's direct holdings to 880,134 shares. The transaction took pla…

Hercules Capital Director Increases Stake with $284,000 Purchase

Hercules Capital Director Increases Stake with $284,000 Purchase

A director of Hercules Capital, Inc. added 20,000 shares to his holdings on February 27, 2026, buying at an average of $14.20 per share. The transaction, routed through a family trust, boosts the trust’s position and comes as the business reported a modest rise in estimated NAV per share and amended a loan facility tied to a biotech borrower. The c…

Prothena Authorizes $100M Buyback; Shares Climb in After-Hours Trade

Prothena Authorizes $100M Buyback; Shares Climb in After-Hours Trade

Prothena Corporation authorized a share repurchase program of up to $100 million, prompting a 4.7% rise in its shares in after-hours trading. The company detailed the mechanics of the repurchase plan, its current cash position and guidance that excludes potential partner milestone payments totaling up to $105 million in 2026.

Mexico's S&P/BMV IPC Inches Up as Industrials and Consumer Names Lead Gains

Mexico's S&P/BMV IPC Inches Up as Industrials and Consumer Names Lead Gains

Mexico's benchmark S&P/BMV IPC closed modestly higher, gaining 0.05% on Friday as Industrials, Consumer Goods & Services, and Consumer Staples outperformed. The session featured pronounced individual moves, with Industrias Peñoles leading advancers and Grupo Televisa among the largest decliners. Commodity prices and currency pairs also moved, with …

Avian influenza erases 7.4 million Pennsylvania chickens within a month

Avian influenza erases 7.4 million Pennsylvania chickens within a month

Avian influenza has killed 7.4 million chickens in Pennsylvania over the past month, part of a U.S. outbreak that began four years ago and has led to the loss of 196 million birds nationwide. State officials and veterinarians point to an unusually cold winter and the presence of wild waterfowl, including snow geese, that wintered in Pennsylvania as…

Colombian equities slip as COLCAP posts 2.46% decline at Friday close

Colombian equities slip as COLCAP posts 2.46% decline at Friday close

Colombia's benchmark COLCAP index fell 2.46% to a one-month low at Friday's close, with the Financials, Investment and Public Services sectors driving the downturn. While Bolsa De Valores De Colombia rose, several financial and investment firms were among the session's heaviest decliners. Commodity and currency markets showed mixed moves, with coff…

Allstate: Buy the Fear on Peak Margin Headlines

Allstate: Buy the Fear on Peak Margin Headlines

Allstate is trading cheaply relative to earnings and cash flow after a period of investor concern about margin cyclicality. The business generates nearly $10B of free cash flow, carries modest leverage and trades at a mid-single-digit PE. This trade idea targets a mid-term rebound as P&C margin fears cool and above-average cash returns reassert val…