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Brent Crude Exceeds $100 as WTI Tops $90 Amid Drill Plans Uncertainty
CommoditiesBearish3/28/2026

Brent Crude Exceeds $100 as WTI Tops $90 Amid Drill Plans Uncertainty

Brent crude is currently trading over $100 per barrel, while WTI has surpassed $90. Despite high prices, only 21% of respondents in the latest Dallas Fed Energy Survey plan to significantly increase their drilling activities this year. The survey indicates that the profitable drilling price levels for WTI are $62 for non-Permian shale, $68 for conventional oil, and $70 for parts of the Permian. Concerns over the Middle Eastern situation and its impact on global energy security have led industry executives to adopt a cautious stance regarding future investments.

Read More: Brent Crude Exceeds $100 as WTI Tops $90 Amid Drill Plans Uncertainty
Record 630,000 More Home Sellers Than Buyers in U.S. Housing Market
Real EstateBearish3/28/2026

Record 630,000 More Home Sellers Than Buyers in U.S. Housing Market

The current U.S. housing market has nearly 50% more home sellers than buyers, resulting in a record mismatch of 630,000. This significant increase in sellers may influence home prices and sales dynamics moving forward. Market analysts suggest this trend could impact buyer sentiment and pricing strategies in the coming months. The surge in sellers indicates a growing imbalance in the real estate market.

Read More: Record 630,000 More Home Sellers Than Buyers in U.S. Housing Market
U.S. Companies Hold $3 Trillion in Cash as Q3 2023 Earnings Approach
EarningsNeutral3/28/2026

U.S. Companies Hold $3 Trillion in Cash as Q3 2023 Earnings Approach

As of Q3 2023, U.S. companies are reported to hold approximately $3 trillion in cash reserves. This figure reflects a strategic position amid economic uncertainty, providing liquidity for potential investments or shareholder returns. Corporate cash holdings have increased by 15% compared to the previous year. The current high cash levels may impact market dynamics as companies evaluate opportunities in a fluctuating economic landscape.

Read More: U.S. Companies Hold $3 Trillion in Cash as Q3 2023 Earnings Approach
REX Shares and Tuttle Capital File For 2x Leveraged ETFs on SpaceX, Anthropic
IPONeutral3/28/2026

REX Shares and Tuttle Capital File For 2x Leveraged ETFs on SpaceX, Anthropic

REX Shares and Tuttle Capital Management have filed for ETFs designed to provide twice the daily performance of SpaceX and Anthropic once they go public. SpaceX is expected to file for its IPO soon, while Anthropic is anticipated to go public in 2026. These developments indicate a competitive ETF market as firms seek early advantages in high-profile listings. Leveraged ETFs aim to amplify stock movements by 200%, but analysts warn of increased risks associated with such investments before the companies debut in public markets.

Read More: REX Shares and Tuttle Capital File For 2x Leveraged ETFs on SpaceX, Anthropic
Reddit User with Over Seven Figures in Stocks Faces Rental Rejections
Real EstateBearish3/28/2026

Reddit User with Over Seven Figures in Stocks Faces Rental Rejections

A Reddit user reports having over seven figures invested in the stock market, stating they can afford up to 40 years of rent upfront. Despite this financial capability, they have faced repeated rental application rejections primarily due to their unemployment status and the perception of risk by landlords. Traditional rental applications often require tenants to earn three times the monthly rent, which creates barriers for those relying on non-traditional incomes, such as investments. This case highlights systemic issues in the rental market's evaluation criteria, where larger property management companies tend to follow strict, automated screening processes that may overlook overall financial strength.

Read More: Reddit User with Over Seven Figures in Stocks Faces Rental Rejections
VCIT and IGIB Bond ETFs Compared: Size, Returns, and Yields
EarningsNeutral3/28/2026

VCIT and IGIB Bond ETFs Compared: Size, Returns, and Yields

The Vanguard Intermediate-Term Corporate Bond ETF (VCIT) and iShares 5-10 Year Investment Grade Corporate Bond ETF (IGIB) have similar expense ratios and returns, with VCIT at 0.03% and IGIB at 0.04%. As of March 24, 2026, VCIT reported a 1-year return of 6.16% and a dividend yield of 4.74%, while IGIB had a return of 6.19% and a yield of 4.72%. VCIT has $68.5 billion in total assets, significantly larger than IGIB's $17.4 billion. Both ETFs suffered similar maximum drawdowns of approximately 20.56% for VCIT and 20.63% for IGIB over the past five years, indicating comparable risks. This analysis is important for investors looking for low-cost, moderate-income investment options in the corporate bond market.

Read More: VCIT and IGIB Bond ETFs Compared: Size, Returns, and Yields
Mass Gatherings Across U.S. for 'No Kings' Rallies Against Trump
GeopoliticsNeutral3/28/2026

Mass Gatherings Across U.S. for 'No Kings' Rallies Against Trump

Crowds have assembled in multiple cities across the United States for 'No Kings' rallies protesting against former President Trump. The specific attendance figures or locations were not detailed in the article. These protests are part of broader political movements affecting public sentiment and could influence market conditions dependent on political stability. Observers are watching for any implications on market dynamics as they relate to upcoming election cycles.

Read More: Mass Gatherings Across U.S. for 'No Kings' Rallies Against Trump
Oracle Stock Price Declines 58% from Peak, $50.64B CapEx Expected in FY26
TechBearish3/28/2026

Oracle Stock Price Declines 58% from Peak, $50.64B CapEx Expected in FY26

Oracle's stock has dropped 58% from its all-time high of $346 in September 2025 to $139. The company has a current market capitalization of $411 billion. Capital expenditures are projected to increase by 138.7% to $50.64 billion in fiscal year 2026, raising concerns about its dividend sustainability. Free cash flow is projected to be -$23.28 billion in FY26 and -$27.63 billion in FY27, indicating significant financial strain as the company invests in AI infrastructure. Oracle has raised $30 billion in debt to support these investments amidst declining free cash flow.

Read More: Oracle Stock Price Declines 58% from Peak, $50.64B CapEx Expected in FY26
TD Bank Reports Record Credit Card Acquisitions and Deposit Growth in Q1 2026
EarningsBullish3/28/2026

TD Bank Reports Record Credit Card Acquisitions and Deposit Growth in Q1 2026

Toronto-Dominion Bank reported its highest-ever credit card acquisitions in a quarter, leading the industry in personal deposit and credit card growth. Approximately 69% of new deposits were non-term, reflecting a favorable shift in customer preferences. The Canadian Personal Banking net interest margin (NIM) is stable, up 1 basis point sequentially. Management anticipates potential NIM expansion in the latter half of the year driven by favorable origination margins and deposit-mix trends, dependent on competitive and macroeconomic factors.

Read More: TD Bank Reports Record Credit Card Acquisitions and Deposit Growth in Q1 2026
Vice President Vance Wins CPAC 2028 Presidential Straw Poll
GeopoliticsNeutral3/28/2026

Vice President Vance Wins CPAC 2028 Presidential Straw Poll

Vice President Vance secured the top position in the 2028 presidential straw poll conducted at the CPAC meeting. This event indicates voter sentiment among conservative attendees, which may affect the direction of upcoming Republican primaries. Specific vote totals or percentages were not disclosed in the article, yet the outcome may influence market perceptions regarding political stability and economic policies leading to the election.

Read More: Vice President Vance Wins CPAC 2028 Presidential Straw Poll
ProShares S&P 500 Dividend Aristocrats ETF (NOBL) Delivers 11.1% Returns Since 2013
EarningsNeutral3/28/2026

ProShares S&P 500 Dividend Aristocrats ETF (NOBL) Delivers 11.1% Returns Since 2013

The ProShares S&P 500 Dividend Aristocrats ETF (NYSE: NOBL) has achieved average annual returns of 11.1% since its inception in October 2013, comparing favorably to the long-term average stock market return of 10%. As of December 2025, NOBL offers a dividend yield of 2.55%. However, over the past year, it has underperformed the S&P 500, gaining only 2.8%, while the S&P 500 gained approximately 15%. Since 2013, NOBL has increased by about 156%, in contrast to the S&P 500's growth of about 292%. The fund has a 0.35% expense ratio and consists of 69 stocks, with notable sector weightings in consumer staples (23.8%) and industrials (21.2%).

Read More: ProShares S&P 500 Dividend Aristocrats ETF (NOBL) Delivers 11.1% Returns Since 2013
Japan Considers Military Changes Amid Rising China Threat and US Relations
GeopoliticsNeutral3/28/2026

Japan Considers Military Changes Amid Rising China Threat and US Relations

Japan is re-evaluating its pacifist stance established 80 years ago due to increasing security threats from China and evolving relations with the United States. This strategic shift could impact Japan's defense spending, which is currently around $47 billion annually, as well as its military capabilities. The potential modification of the nation's constitution to enable collective self-defense is also under discussion. Such changes may affect regional security dynamics and influence market perceptions of Japanese equities.

Read More: Japan Considers Military Changes Amid Rising China Threat and US Relations
Top AI Data Center Stocks CRDO and VRT Identified Amid Market Growth
TechBullish3/28/2026

Top AI Data Center Stocks CRDO and VRT Identified Amid Market Growth

Zacks Investment Research highlighted AI data center stocks CRDO and VRT as top picks amid their strong performance in the current market. The data center sector is experiencing growth due to increasing demand for AI infrastructure. This trend suggests potential investment opportunities as firms focus on technological advancements in data management. The evolving market landscape reflects the importance of fostering investments in data-centric companies.

Read More: Top AI Data Center Stocks CRDO and VRT Identified Amid Market Growth
US Airport Lines Increase as Travelers Choose Alternatives to Flying
TravelNeutral3/28/2026

US Airport Lines Increase as Travelers Choose Alternatives to Flying

Reports indicate that security lines at CVG Airport are longer than usual due to increased travel during spring break. In response to busy airports and high airfare, one traveler opted for a 20-hour Amtrak ride, costing $200, instead of flying. This trend may reflect travelers' reluctance to navigate airport chaos, potentially impacting flight demand and airline revenues. Overall, air travel efficiency and costs are becoming critical considerations as travel rates rise.

Read More: US Airport Lines Increase as Travelers Choose Alternatives to Flying
Seattle Light Rail Connection Opens After Nearly 20 Years; Boosts Regional Transit
TechBullish3/28/2026

Seattle Light Rail Connection Opens After Nearly 20 Years; Boosts Regional Transit

Sound Transit has inaugurated the Cross Lake Connection light rail service across Lake Washington, connecting the Eastside and Seattle. This project, nearly 20 years in the making, facilitates public transportation over the I-90 bridge, significantly improving mobility in the region. The opening of this service marks a key milestone for public transport and is part of a larger initiative to enhance regional connectivity. The investment in this infrastructure is expected to impact local economies by increasing access to jobs and services.

Read More: Seattle Light Rail Connection Opens After Nearly 20 Years; Boosts Regional Transit
U.S. and Israel Continue Military Actions Against Iran's Missile Capabilities
GeopoliticsNeutral3/28/2026

U.S. and Israel Continue Military Actions Against Iran's Missile Capabilities

The U.S. and Israel have conducted military operations aimed at degrading Iran's missile capabilities. Specific figures from these operations were not disclosed, but the ongoing nature of the military efforts suggests a sustained strategy. This situation could impact regional security dynamics and, consequently, market stability in areas related to defense and energy. Investors may need to monitor developments closely, as geopolitical tensions often influence market performance.

Read More: U.S. and Israel Continue Military Actions Against Iran's Missile Capabilities
Three Arrested After Shooting Incident at Arundel Mills Mall, MD
EconomyBearish3/28/2026

Three Arrested After Shooting Incident at Arundel Mills Mall, MD

Three individuals were arrested following a shooting incident at Arundel Mills Mall in Maryland, which left one person injured. Police stated that there was an altercation involving an armed man, and a gunshot was discharged. Authorities conducted a pursuit into Baltimore County after the incident. This event raises concerns about safety at public venues, which may impact consumer confidence and foot traffic in retail areas.

Read More: Three Arrested After Shooting Incident at Arundel Mills Mall, MD
Americans Protest Against Trump Amid Ongoing Conflict in Iran
GeopoliticsNeutral3/28/2026

Americans Protest Against Trump Amid Ongoing Conflict in Iran

A series of protests occurred in the United States with participants expressing discontent with President Trump's policies, particularly regarding the ongoing war in Iran. These protests reflect a broader sentiment among certain Americans regarding governmental decisions and foreign policy. Specific participant numbers and event details were not provided, and the overall impact on market dynamics remains unclear. Nonetheless, political unrest can lead to fluctuations in market confidence and stability.

Read More: Americans Protest Against Trump Amid Ongoing Conflict in Iran
Medicare Part B Premiums Reach $202.90; Higher-Income Surcharges Explained
EconomyNeutral3/28/2026

Medicare Part B Premiums Reach $202.90; Higher-Income Surcharges Explained

For 2023, the standard monthly premium for Medicare Part B is set at $202.90. Higher-income enrollees may face increased premiums through income-related monthly adjustment amounts (IRMAAs), which can add hundreds of dollars based on modified adjusted gross income (MAGI). Individuals earning over $109,000 face premium surcharges, with those at $150,000 paying $405.80, effectively doubling the standard rate. The highest surcharge for singles with a MAGI over $500,000 could result in a total monthly cost of $689.90, influenced by income variations and previous fiscal assessments.

Read More: Medicare Part B Premiums Reach $202.90; Higher-Income Surcharges Explained
Iran Opposition Leader Pahlavi Advises Against Deal with Current Leaders
GeopoliticsNeutral3/28/2026

Iran Opposition Leader Pahlavi Advises Against Deal with Current Leaders

Pahlavi, an Iranian opposition figure, has publicly advised against making any agreements with the current leaders of Iran. He emphasizes the importance of resistance against the current regime in light of ongoing political tensions. This statement may influence market perceptions regarding Iran's political stability and potential investment decisions. Current geopolitical events and stances from opposition leaders can affect regional market dynamics.

Read More: Iran Opposition Leader Pahlavi Advises Against Deal with Current Leaders
Oil Prices May Remain High Amid Iran Conflict Disrupting 8-10M Barrels Daily
CommoditiesBearish3/28/2026

Oil Prices May Remain High Amid Iran Conflict Disrupting 8-10M Barrels Daily

During the CERAWeek energy conference in Houston, CEOs of major oil companies indicated that the ongoing conflict in Iran poses significant risks to global energy supplies, with a potential shortfall of 8 to 10 million barrels of oil daily and around 20% of the liquefied natural gas market. The closure of the Strait of Hormuz has been described as an 'economic blockade,' leading to potential fuel shortages in Asia and Europe. The oil shock is described as the worst since the 1973 Arab oil embargo, with officials calling for U.S. military protection of energy assets. Despite government reassurances, executives express concern over the market not fully reflecting the disruption's severity.

Read More: Oil Prices May Remain High Amid Iran Conflict Disrupting 8-10M Barrels Daily
Ray Dalio's All-Weather Portfolio Strategy Aims to Protect Investments Long-Term
EarningsNeutral3/28/2026

Ray Dalio's All-Weather Portfolio Strategy Aims to Protect Investments Long-Term

Billionaire investor Ray Dalio emphasizes the importance of a strong investment strategy in a market influenced by high inflation. He warns that cash can significantly lose purchasing power over time, particularly during inflationary periods, and advocates for managing portfolios with minimal market timing attempts. Dalio's All-Weather Portfolio concept aims to balance asset volatility rather than following the traditional 60/40 stock/bond split. He promotes the need for cash to earn higher yields, citing Moomoo's Cash Sweep program which offers an APY of up to 8.1% on balances up to $20,000 for new users.

Read More: Ray Dalio's All-Weather Portfolio Strategy Aims to Protect Investments Long-Term
Prediction Markets Reach $17 Billion Monthly Volume Amid Legislative Challenges
MarketsBullish3/28/2026

Prediction Markets Reach $17 Billion Monthly Volume Amid Legislative Challenges

Prediction markets have surpassed $17 billion in monthly trading volume, according to recent reports. The endorsement by Donald Trump highlights their growing significance, particularly in political forecasting, as evidenced by a 2025 Vanderbilt study that found Polymarket outperformed traditional polling in swing states during the 2024 election. CEO Vlad Tenev of Robinhood Markets stated that prediction markets are the fastest-growing business segment, with a revenue run rate exceeding $300 million and over 4 billion event contracts traded in January alone. Additionally, CME Group reported trading of 100 million event contracts within eight weeks earlier this year, which suggests robust market interest despite ongoing legislative scrutiny.

Read More: Prediction Markets Reach $17 Billion Monthly Volume Amid Legislative Challenges
Impact of Strait of Hormuz Pricing on Major European Oil Companies
CommoditiesNeutral3/28/2026

Impact of Strait of Hormuz Pricing on Major European Oil Companies

European oil companies are experiencing significant impacts due to pricing fluctuations in the Strait of Hormuz, a crucial oil transport route. This area is responsible for about 20% of the world's petroleum consumption, which makes changes in shipping costs critical for global oil prices. As tensions in the region affect oil flow, trading volumes and P/E ratios for these companies could be influenced, leading to potential adjustment in market strategies. The health of the oil sector in Europe is closely linked to these developments.

Read More: Impact of Strait of Hormuz Pricing on Major European Oil Companies
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