S&P 500 7,457.69 -1.01% NASDAQ 25,520.24 -1.40% DOW 52,146.42 -0.77% R2K 2,962.22 -0.42% VIX 18.77 +12.19% US 10Y 4.54 -0.61% DXY 100.75 +0.02% GOLD 4,023.00 +0.94% CRUDE 81.77 +3.57%
Next Bullish Trade
Sign in
News Hub · 2026-07-17

The market, in seven rooms

Your one-scan market briefing. Start with the live news feed, then explore by room — who's moving, the data underneath, and the news by topic (politics, stocks, the Fed, crypto) — each with its own bull-vs-bear meter. Use the // switch up top to lean the page bull or bear.

Mixed · 50% green
Scanner 311m ago · 4582 tickers
Markets now Key indices, rates, gold, oil & crypto — tap any to open it
Overall news sentiment across politics · stocks · fed · crypto 25% bull·29% bear·46% neutral (24)

The room is split — bulls 25%, bears 29% across 24 signals.

Lead market catalyst · Pre-Market Macro NEUTRAL
No Fed events or economic data releases occur today because the US market is closed for the Saturday weekend session .

Weekend closure means no actionable trades today; use the time to prepare watchlists for Monday's open and review positioning ahead of the July 29 FOMC decision.

Feed

The latest publisher headlines, grouped by the kind of news — earnings, deals, analyst calls, the Fed, crypto. Tap ☆ Save on any story to keep it, follow a ticker to pin its stories under "For you", and Pro members can ask the AI about any story.

Top stories The freshest image-led reports
ROSEN, SKILLED INVESTOR COUNSEL, Encourages First Solar, Inc. Investors to Secure Counsel Before Important Deadline in Securities Class Action – FSLR

Rosen Law Firm has filed securities class action lawsuits against First Solar, Inc., Photronics, Inc., and Intuit Inc. The First Solar lawsuit alleges the company made materially false statements regarding its capacity to manage U.S. tariff policy impacts and overstated projected performance for fiscal year 2026. Investors who purchased securities during specified class periods are encouraged to join the litigation before the August 24, 2026 lead plaintiff deadline.

GlobeNewswire Inc. · 1h ago
Earnings 52 stories
PENTAIR PLC INVESTOR ALERT: Kirby McInerney LLP Announces Investigation Into Potential Securities Fraud

Law firm Kirby McInerney LLP is investigating potential securities fraud claims against Pentair plc following the company's July 14, 2026 announcement of significantly reduced financial guidance and immediate CFO departure. Pentair reported Q2 sales of ~$930M (17% decline vs. expected 1% growth) and adjusted EPS of ~$1.12 (vs. prior guidance of $1.47-$1.50), citing inventory realignment issues and worsening business conditions. The stock fell 15% to $64.33 on the news.

GlobeNewswire Inc. · 3h ago
PNR
Stock Market Today, July 17: Stocks Slide as Semiconductor Rout Deepens

Major stock indices declined on July 17, 2026, as a semiconductor sell-off deepened amid geopolitical tensions and concerns about AI spending sustainability. The Nasdaq fell 1.40%, S&P 500 dropped 1.01%, and Dow Jones slipped 0.77%. Travelers Companies surged 9% on strong earnings, while chip stocks including Nvidia, AMD, and Intel tumbled. The PHLX Semiconductor Index has fallen over 13% in the past month despite being up 63% year-to-date.

The Motley Fool · 4h ago
Apple Had the Cash to Buy Any of 486 S&P 500 Companies, but Tim Cook Bet $851 Billion on This Instead

Apple has committed $851 billion to share buybacks since 2012 under Tim Cook's leadership, reducing outstanding shares by over 40% and boosting diluted earnings per share by 373% over 13 years. Despite sitting out the AI boom, Apple's stock has risen 22% in 2026 and 1,250% over the past decade, demonstrating the effectiveness of its capital allocation strategy focused on returning cash to shareholders rather than major acquisitions.

The Motley Fool · 6h ago
Chino Commercial Bancorp Reports 18% Increase In Second Quarter Earnings

Chino Commercial Bancorp reported Q2 2026 net earnings of $1.82 million, up 18% year-over-year, with EPS of $0.47. Year-to-date earnings reached $3.51 million, up 21%. The bank achieved record total assets of $519 million, deposits of $391.6 million, and loans of $242.1 million. The company announced a 20% stock dividend and highlighted strong loan quality with only two delinquent loans and robust merchant services growth of 37% in card processing volume.

GlobeNewswire Inc. · 6h ago
nVent Electric plc to Report Second Quarter 2026 Financial Results on July 31

nVent Electric plc will report second quarter 2026 financial results on July 31, 2026, with a conference call at 9:00 a.m. ET. The company has appointed Nitin Jain as Chief Strategy Officer and Joe Stark as Chief Revenue Officer to drive growth in electrification and accelerate the next phase of company expansion.

GlobeNewswire Inc. · 7h ago
NVT
This Wall Street Firm Just Placed a $725 Price Target on AMD Stock. Here's Why It's Wrong.

KeyBanc set a $725 price target on AMD, implying a 40% gain, but analyst Keithen Drury argues this is overly optimistic. AMD trades at a premium valuation despite lagging Nvidia in AI accelerators and lacking the profit margins to justify current prices. Even under highly optimistic scenarios, AMD would trade at 36x forward earnings, making Nvidia the better investment.

The Motley Fool · 8h ago
SpaceX Stock Drops on Friday. Should Investors Cheer?

SpaceX stock fell below its IPO price on Friday, dropping 4% to $125.93 per share. Despite near-term headwinds including competition from China, delayed Starship tests, and AI sector selloffs, analysts project 152% annual earnings growth over five years, suggesting the stock may be approaching fair value.

The Motley Fool · 8h ago
Dow Holds Steady While Nasdaq Stumbles: What Moved Markets This Week

The Nasdaq fell 2.5% for the week amid concerns about unsustainable AI infrastructure spending, with major tech stocks declining. The Dow remained relatively stable, buoyed by strong earnings from Travelers and UnitedHealth Group. Chip stocks faced particular pressure following Taiwan Semiconductor's increased capex forecast and IBM's profit warning, while Netflix dropped 8.5% despite meeting expectations.

The Motley Fool · 8h ago
Micron Is Quietly Becoming a More Reliable Long-Term Growth Play

Micron Technology has experienced a 30% pullback from its 52-week high despite strong quarterly results, presenting a buying opportunity for long-term investors. The company benefits from structural demand for memory chips driven by AI data centers, with supply shortages expected to persist beyond 2030. Analysts project 785% EPS growth in fiscal 2026, with potential for the stock to reach nearly $2,000 by 2030 if earnings growth continues and the company trades at a modest 10x earnings multiple.

The Motley Fool · 9h ago
Procter & Gamble Has Raised Its Dividend for 70 Straight Years. Only 5 Other Companies Can Say the Same.

Procter & Gamble raised its quarterly dividend by 3% in April, marking its 70th consecutive year of dividend increases and 136 years of continuous dividend payments since 1890. With a current yield of 2.9%, a payout ratio of 63%, and plans to distribute $10 billion in dividends in fiscal 2026, P&G demonstrates the durability of its consumer staples business. The stock trades at 21x earnings, offering a reasonable valuation for income-focused investors seeking dependable dividend growth.

The Motley Fool · 11h ago
PG
Now We Know Why Netflix Is Trying but Failing to Go on a Shopping Spree

Netflix's stock plummeted following disappointing Q2 earnings, with revenue growth slowing to 13.4% and weak forward guidance of 11.7% for Q3—its slowest growth in three years. The company is pursuing acquisitions and exploring free trial eligibility and ad-supported tiers as organic growth stalls, signaling desperation rather than strategic expansion. While profitability improved, investors are concerned about slowing subscriber growth and the company's ability to maintain momentum.

The Motley Fool · 11h ago
3 Utility Stocks Built for the Coming AI Power Crunch

As AI data centers proliferate globally, electricity demand is surging, creating significant opportunities for utility stocks. Three electric utilities are particularly well-positioned to benefit: Constellation Energy (nuclear power focus with direct Meta deals), Entergy (supplying Meta's $50B Louisiana data center), and NextEra Energy (merging with Dominion to gain exposure to Virginia's 'data center alley'). All three stocks offer dividend growth potential alongside earnings expansion driven by AI infrastructure demand.

The Motley Fool · 11h ago
Sandisk Stock Has Jumped Over 500% in 2026. It Can Still Become a Multibagger Thanks to This Massive News

Sandisk has secured a long-term supply agreement with Meta Platforms for NAND flash memory chips to support Meta's AI data center expansion. With a $42 billion revenue pipeline from five multi-year agreements, expected memory chip shortages lasting 4-5 years, and variable pricing riders that capture upside from price increases, analysts project Sandisk's stock could reach $4,657 (2.6x upside) if earnings reach $232.88 per share within two years.

The Motley Fool · 12h ago
CSW Industrials Declares Quarterly Dividend of $0.30 Per Share

CSW Industrials declared a regular quarterly cash dividend of $0.30 per share payable August 14, 2026. The company reported robust fiscal 2026 fourth quarter results with record quarterly and full year performance, with the Contractor Solutions segment returning to positive organic growth.

GlobeNewswire Inc. · 13h ago
CSW
Cloudastructure Reports Revenue Growth of 78% Year-Over-Year for the 2026 First Quarter

Cloudastructure reported Q1 2026 revenue of $1.315 million, up 78% year-over-year, with recurring revenue reaching an annualized run rate of $2.6 million. The company expanded its AI-driven security platform across multifamily, transportation, and logistics sectors, now serving 8 of the top 10 NMHC-ranked multifamily property managers. Despite strong revenue growth, the company posted a net loss of $2.8 million as it continues investing in platform scaling and operational expansion.

GlobeNewswire Inc. · 13h ago
Should You Buy Tesla Stock Before Earnings on July 22?

Tesla's Q2 earnings on July 22 are expected to show strong EV delivery growth (~480k units) and automotive revenue around $20.1-20.7B, up 22% YoY. However, the article suggests investors shouldn't rush to buy before earnings as major announcements on Optimus robots or robotaxi/v15 software are unlikely, with no game-changing catalysts expected. Long-term investors can wait to buy as the stock lacks near-term catalysts.

The Motley Fool · 13h ago
Enovis to Host Second Quarter 2026 Results Conference Call on August 6th

Enovis Corporation (NYSE: ENOV) announced it will host an investor conference call on August 6th, 2026 at 8:30 a.m. Eastern Time to discuss its second quarter 2026 financial results. The company will issue an earnings press release that morning, with the live webcast and presentation accessible from its website.

GlobeNewswire Inc. · 13h ago
Nvidia and AMD Investors Must Be Prepared for Aug. 4

AMD reports Q2 earnings on Aug. 4 with high expectations for 47% revenue growth. The stock has surged 130% in 2026 and trades at a 75x forward P/E ratio, making it vulnerable to disappointment. Nvidia, trading at only 24x forward earnings despite faster expected growth (~100%), could benefit if AMD confirms strong AI demand. Analysts suggest Nvidia offers better value than AMD at current valuations.

The Motley Fool · 14h ago
If You Invest $2,000 in Ares Capital Today, Here's the Dividend Income You Could See by 2030

Ares Capital (ARCC) offers a 10.2% dividend yield, significantly higher than the S&P 500's 1%. A $2,000 investment would purchase approximately 105 shares at $19 per share, generating $100.80 in dividend income by year-end if the current $0.48 quarterly dividend is maintained. The BDC has maintained a stable-to-growing dividend for over 16 years, with sufficient earnings cushion to support the current payout level through 2030.

The Motley Fool · 14h ago
Here's Why ON Semiconductor Just Made a $7 Billion Bet on AI

ON Semiconductor announced a $7 billion all-stock acquisition of AI edge solutions company Synaptics, transforming itself from a power and sensing chip company into one offering connected compute technology for physical AI applications. While the market initially reacted negatively, management expects the deal to add to earnings within 18 months, generate $200 million in synergies, and expand the company's total addressable market by $30 billion to $243 billion by 2030. The analyst views the stock dip as a buying opportunity, positioning the move as a bold but strategic entry into the long-term AI inference market.

The Motley Fool · 14h ago
Here's Why Aehr Test Systems Surged Higher This Week

Aehr Test Systems stock surged 20.9% following strong Q4 earnings that confirmed the company's successful transition from the EV market to the higher-growth AI processor market. The company reported record bookings of $60.7 million and a $100 million backlog, with management projecting fiscal 2027 revenue of $130-150 million compared to $50 million in 2026. AI-related products now represent approximately 71% of annual revenue, up from less than 5% two years ago.

The Motley Fool · 14h ago
Click Holdings Limited (CLIK) Surpasses 6 Million Senior Care Hours; Unveils Global ESG Framework to Power International and Mainland China Expansion

Click Holdings Limited announced it has delivered over 6 million cumulative senior care service hours and unveiled a global ESG framework to support expansion into Mainland China and international markets. The company reported 73% year-over-year Q3 revenue growth with 110% growth in its senior nursing division, and targets HK$500 million in annual revenue within three years by leveraging its AI-powered HR and senior care solutions.

GlobeNewswire Inc. · 14h ago
CrossAmerica Partners to Announce Second Quarter 2026 Earnings Results on August 5

CrossAmerica Partners LP announced it will release its second quarter 2026 earnings results on August 5, 2026, followed by a conference call on August 6 at 9:00 a.m. Eastern Time. The company is a leading wholesale distributor of motor fuels operating across 34 states with approximately 1,500 distribution locations.

GlobeNewswire Inc. · 15h ago
Why American Superconductor Corporation Rallied in the First Half of 2026

American Superconductor (AMSC) rallied 44.2% in H1 2026, driven by strong earnings beats and growing optimism around superconductor technology commercialization. A Microsoft blog post highlighting the viability of high-temperature superconductors in data centers and an Ohio State study on room-temperature superconductors boosted investor sentiment. While the company's current revenue is primarily from conventional utility equipment, superconductor technology represents significant long-term upside potential.

The Motley Fool · 15h ago
Sandisk Stock Is Up More Than 3,700% From Its 52-Week Low. Is the Memory Rally Still Investable, or Is This Stock Priced for Perfection?

Sandisk, spun off from Western Digital in early 2025, has surged 3,748% from its 52-week low as demand for AI storage infrastructure accelerates. The company benefits from a memory supercycle driven by hyperscaler AI investments, with $42 billion in multiyear supply contracts providing revenue visibility. Despite the massive rally, analysts project significant EPS growth from $66.51 to $208.22 next fiscal year, valuing the stock at a modest 7.6x forward P/E. The author views Sandisk as a compelling long-term buy given the secular nature of AI infrastructure spending.

The Motley Fool · 17h ago
Elon Musk Has Never Sold His Tesla Vision. Should You Buy the Dip Before July 22?

Tesla's stock has dipped below $400 ahead of July 22 earnings, prompting investors to consider whether this is a buying opportunity. While Musk's commitment to long-term vision in autonomous driving, robotics, and AI is noteworthy, the article cautions that timing purchases around earnings is risky given Tesla's premium valuation and history of missed timelines. The key question for investors is whether they're willing to hold through years of volatility for an unproven autonomous future, rather than betting on short-term earnings surprises.

The Motley Fool · 18h ago
Netflix Reported Record Quarterly Revenue of $12.6 Billion, but Guidance Came in Below Expectations. Here’s What It Means for Investors.

Netflix reported record Q2 revenue of $12.56 billion with 13% YoY growth, slightly beating analyst expectations. However, the company's forward guidance for Q3 and full-year 2026 fell short of consensus estimates, causing a 9% after-hours stock decline. While the company is expanding content offerings including sports and wrestling, investors appear hungry for more tangible growth catalysts amid intense streaming competition.

The Motley Fool · 22h ago
TSMC Just Announced Fantastic News for Nvidia Shareholders

TSMC reported strong Q2 earnings with revenue up 33% and EPS up 77%, driven by AI chip demand. The company announced a $100 billion additional investment in Arizona manufacturing, including advanced packaging capabilities, which could benefit customers like Nvidia. TSMC's CEO indicated strong demand signals from cloud providers, suggesting sustained long-term AI growth and supporting Nvidia's valuation at 23x forward earnings.

The Motley Fool · 1d ago
Should You Buy Coca-Cola Stock Before July 28?

Coca-Cola is recommended as a buy ahead of its July 28 earnings report. The beverage giant has beaten earnings expectations for four consecutive quarters, maintains a 64-year dividend increase streak (Dividend King status), generates strong free cash flow of ~$2 billion quarterly, and offers a 2.5% dividend yield. Despite trading at a premium valuation (forward P/E of ~25) and reaching all-time highs, the stock has gained 18% year-to-date and remains a steady, income-generating investment with new leadership focusing on innovation.

The Motley Fool · 1d ago
KO
What This Credo Insider's $12.6 Million Sale Means With Shares Up 121%

Credo Technology Group's COO Lam Yat Tung sold approximately 106,000 shares worth $23.9 million on July 15, 2026, under a pre-planned Rule 10b5-1 trading plan adopted in April. Despite the sale, the insider maintains over 3.1 million shares valued at $705 million. The transaction represents less than 4% of his holdings and follows a 121% one-year stock appreciation. Analysts view this as routine portfolio management rather than a bearish signal, particularly given Credo's strong financial performance with fiscal 2026 revenue exceeding $1.3 billion and record quarterly results.

The Motley Fool · 1d ago
Corbin Advisors Releases Q2’26 Inside The Buy-Side® Industrial Sentiment Survey®

Industrial sector investor sentiment has surged to its highest level in five years, with 84% of surveyed institutional investors expressing neutral to bullish or bullish views. The optimism is driven by six consecutive favorable PMI prints, accelerating order momentum, and strong secular demand from data centers, AI, and aerospace/defense. Investors expect Q2'26 revenue and earnings improvements, with 86% anticipating increased capex spending. However, inflation remains the top concern alongside growth/demand and valuation concerns.

GlobeNewswire Inc. · 1d ago
XLI
Is IBM's Crash Really a Buying Opportunity?

IBM stock plummeted over 25% following an earnings warning, erasing $67 billion in market value. The decline was triggered by customers shifting spending away from IBM's software toward AI servers and memory chips. While the short-term outlook is concerning, the analyst views this as a cyclical timing issue rather than a fundamental problem, suggesting the crash may present a buying opportunity for patient investors.

The Motley Fool · 1d ago
IBM
IPG Photonics Announces Binding Offer to Acquire Lumibird Medical, Expanding IPG’s Medical Laser Growth Platform

IPG Photonics announced a binding offer to acquire Lumibird Medical for €300 million plus up to €50 million in earnout consideration. The acquisition aims to create a scaled medical laser platform combining IPG's urology expertise with Lumibird Medical's ophthalmology leadership, expected to add approximately $1 billion in addressable market and be accretive to gross margin, EBITDA, and adjusted EPS. The transaction is expected to close in Q4 2026.

GlobeNewswire Inc. · 1d ago
Constellation Software Inc. Announces Conference Call to Discuss Second Quarter Results

Constellation Software Inc. announced it will host a second quarter 2026 conference call on August 12, 2026 at 8:00 a.m. ET. The company's quarterly results will be released on August 11, 2026 after market close. Senior executives including President Mark Miller, CFO Jamal Baksh, and Chief Investment Officer Bernard Anzarouth will be available to discuss results.

GlobeNewswire Inc. · 1d ago
1 Critical Reason to Buy Broadcom Stock on the Dip

Broadcom stock has fallen 20% from its all-time high following a poorly received earnings report, but analysts view this as a buying opportunity. The company is positioned for explosive growth in custom AI chips, with major clients including Alphabet, Meta, Anthropic, and OpenAI ramping production through 2026-2027. AI semiconductor revenue is expected to surge from $10.8 billion in Q2 to over $100 billion in 2027, making the stock attractive at current valuations.

The Motley Fool · 1d ago
Algoma Steel Group Inc. to Announce 2026 Second Quarter Results July 29, 2026

Algoma Steel Group Inc. announced that it will release its 2026 second quarter financial results on July 29, 2026, followed by a webcast and conference call on July 30, 2026. The company continues its transformation to electric arc furnace (EAF) steelmaking, which is expected to reduce carbon emissions by approximately 70% once fully transitioned.

GlobeNewswire Inc. · 1d ago
Boeing Delivered 64 Jets in June. Here's What That Means for Its July 28 Earnings.

Boeing delivered 64 commercial airplanes in June, bringing its second-quarter total to 171 jets and first-half total to 314—its best first half since 2018. The delivery ramp is critical to Boeing's recovery story, as the company collects most of an airplane's purchase price upon delivery. With 28 more deliveries in Q2 versus Q1, investors should expect improved financial metrics when Boeing reports earnings on July 28, particularly in free cash flow and narrowing losses.

The Motley Fool · 1d ago
Stock Market Today, July 16: Micron Plunges as Tech Stocks Extend Sell-Off

Tech stocks extended their sell-off on July 16, 2026, with the Nasdaq Composite falling 1.47% amid growing AI spending concerns and escalating U.S.-Iran tensions. Micron Technology plunged nearly 6%, while semiconductor leaders like Nvidia and Broadcom declined. Taiwan Semiconductor Manufacturing fell despite record earnings. Abbott Laboratories surged over 10% on strong earnings. A Bank of America survey revealed 45% of fund managers view an AI bubble as the largest market risk.

The Motley Fool · 1d ago
A Sea Limited Billionaire Sold $4.4 Million in Stock but Kept Billions More

Sea Limited COO Ye Gang sold 40,000 Class A shares worth $4.4 million through a pre-arranged trading plan established in September 2025. Despite the sale, he retains 21.6 million shares worth approximately $2.4 billion and maintains a 4% ownership stake. The transaction is viewed as routine personal financial planning rather than a bearish signal, especially given the company's strong operational performance with Q1 revenue up 47% and adjusted EBITDA exceeding $1 billion for the first time.

The Motley Fool · 1d ago
SE
A Sea Limited Insider Keeps Selling. The Stock Is Down 30% but the Business Grew 47%

Sea Limited's Chief Compliance Officer Yanjun Wang sold 3,000 shares worth $332,310 through a pre-scheduled trading plan, representing only 0.25% of her total holdings. Despite the stock declining 30% over the past year, Sea's business fundamentals remain strong with Q1 revenue jumping 47% to $7.1 billion and adjusted EBITDA exceeding $1 billion for the first time. The insider's modest, routine selling is characterized as programmed diversification rather than a loss of confidence, especially given the company's ongoing $1 billion share buyback program.

The Motley Fool · 1d ago
SE
PDF Solutions to Report Second Quarter Fiscal 2026 Financial Results on August 6, 2026

PDF Solutions, Inc. (Nasdaq: PDFS) announced it will release its Second quarter fiscal 2026 financial results on August 6, 2026, followed by a live teleconference with CEO John Kibarian and CFO Adnan Raza at 2:00 p.m. Pacific Time to discuss the results. The call will be webcast on the company's investor relations website.

GlobeNewswire Inc. · 1d ago
ADT to Release Second Quarter 2026 Results on Thursday, July 30th

ADT Inc. (NYSE: ADT) will release its second quarter 2026 financial results on July 30, 2026, followed by a management conference call at 10 a.m. ET. The company will discuss financial results and conduct a Q&A session accessible via webcast and phone.

GlobeNewswire Inc. · 1d ago
ADT
Prediction: This AI Stock Will Double by 2031 -- Here's the Math

Alphabet is predicted to double by July 2031 based on expected 15% annual EPS growth, potential valuation expansion from current 27.4x P/E ratio, and strong AI monetization opportunities through Google Cloud and advertising. The company's dominant market position, network effects, and $180-190 billion AI capital expenditure support this outlook.

The Motley Fool · 1d ago
Dow Jones Hangs On While Memory Chips Take Another Beating

The semiconductor sector continued its fourth consecutive day of losses after Taiwan Semiconductor raised capital expenditure forecasts to $60-64 billion, sparking investor concerns about profitability. Memory chip stocks like SK Hynix and Micron plummeted, dragging down the Nasdaq and S&P 500. The Dow remained relatively stable as healthcare stocks, particularly UnitedHealth and Abbott Laboratories, rallied on strong earnings, offsetting tech sector weakness.

The Motley Fool · 1d ago
Why Sandisk Stock Is Still Dropping

Sandisk stock fell 9.6% following TSMC's Q2 earnings beat and announcement of increased capital spending ($60B vs. $54B forecast). While investors punished TSMC for higher spending concerns, the article argues this is actually positive for Sandisk, as TSMC's expanded chip production for AI applications will increase demand for Sandisk's NAND flash memory chips needed to pair with CPUs and GPUs.

The Motley Fool · 1d ago
The Best Dividend ETF to Buy With $1,000 Right Now

The article recommends the Schwab U.S. Dividend Equity ETF (SCHD) as a better investment choice over tech-heavy S&P 500 funds. With tech stocks showing signs of fatigue and IBM's 25% drop after missing earnings expectations, the author advocates for a defensive approach focused on high-quality dividend-paying companies with strong balance sheets. SCHD has outperformed the S&P 500 by 9% year-to-date with a 3.3% yield and consistent dividend growth since 2011.

The Motley Fool · 1d ago
Why Is Micron Stock Still Falling?

Micron stock fell 3.2% following TSMC's strong Q2 earnings report and increased capital spending guidance, despite this being positive news for Micron's memory chip demand. The article argues the sell-off is illogical, as TSMC's increased AI chip production will drive demand for Micron's HBM memory chips. Additionally, Micron signed strategic supply agreements with seven major automotive suppliers, providing revenue certainty and margin protection.

The Motley Fool · 1d ago
AST SpaceMobile vs. Rocket Lab: 1 Number Separates These Space Stocks

Rocket Lab generates approximately $200 million in quarterly revenue with 60% year-over-year growth and a $2 billion backlog, while AST SpaceMobile expects only $150-200 million for all of 2026. Rocket Lab represents a lower-risk, established business with proven revenue streams, whereas AST SpaceMobile is transitioning from development to commercial service with higher upside potential if its satellite-to-phone technology scales successfully.

The Motley Fool · 1d ago
Deals & M&A 27 stories
MKDWELL Tech Inc. to Acquire Premium Smart-Home and IoT Group, Diversifying Beyond Automotive Electronics

MKDWELL Tech Inc., an automotive electronics manufacturer, announced it will acquire Landvision Inc., a developer of AI-enabled smart-home and IoT products, for $240 million through the issuance of 30 million new shares at $8.00 per share. The acquisition aims to diversify MKDWELL's business into the high-growth consumer smart-home sector while leveraging complementary strengths in embedded electronics and manufacturing. Completion is expected in August 2026.

GlobeNewswire Inc. · 4h ago
GPGI ALERT: Bragar Eagel & Squire, P.C. Announces that a Class Action Lawsuit Has Been Filed Against GPGI, Inc. and Encourages Investors to Contact the Firm

A class action lawsuit has been filed against GPGI, Inc. in the U.S. District Court for the Southern District of New York on behalf of investors who purchased GPGI Class A common stock between November 3, 2025 and May 6, 2026. The lawsuit alleges that defendants made materially false and misleading statements regarding the overstatement of Husky's value, failure to disclose that Husky was not on track to meet revenue and EBITDA targets, and that the acquisition was primarily motivated by generating fees rather than creating shareholder value.

GlobeNewswire Inc. · 5h ago
newcleo advances MOX fuel licensing in France and enters new collaboration phase with French authorities

newcleo received a satisfactory safety opinion from French nuclear authority ASNR for its planned MOX fuel facility. The company has outgrown the France 2030 program scope due to significant capital raises and international expansion, including a planned NASDAQ listing via SPAC merger valuing it at $2.4 billion. France will continue supporting newcleo through licensing and regulatory assistance rather than direct funding.

GlobeNewswire Inc. · 7h ago
Warren Buffett Just Gave Away $6 Billion of Berkshire Stock. He Plans to Give Away $138 Billion More by 2034.

Warren Buffett donated $6 billion in Berkshire Hathaway stock to four family foundations this week. He plans to fully dispose of his remaining $138 billion stake by the end of 2034, representing a gradual transition of voting control over the next eight years. This scheduled divestment will reduce Buffett's voting power from 30.2% and eventually eliminate any single shareholder's controlling grip on the company.

The Motley Fool · 8h ago
Why SpaceX Stock Dropped on Friday

SpaceX stock fell below its IPO price after the company scrubbed a Starship test flight due to two Raptor engines failing to ignite on the Super Heavy booster. The engines will be replaced and the launch rescheduled for early next week. The analyst argues this delay is not a significant concern for long-term investors.

The Motley Fool · 9h ago
S&P Global Spun Off Its Mobility Business on July 1. Here's What the Leaner Ratings Giant Looks Like Now.

S&P Global completed a spinoff of its Mobility division (now Mobility Global) on July 1, 2026, creating a leaner, more focused company. The mobility business was S&P Global's smallest and lowest-margin operation (22% margins vs. 40% company average), so the separation should improve overall profitability and allow management to focus on core strengths in ratings and market intelligence. The company's 53-year dividend growth streak remains intact.

The Motley Fool · 11h ago
SpaceX Delayed Its Starship Launch and the Stock Fell Below Its IPO Price. One of Those Things Matters. The Other Doesn't.

SpaceX's stock fell below its $135 IPO price following a Starship launch delay, but the article argues the delay itself is unlikely to materially impact the company's long-term investment thesis. The stock decline is attributed more to thin trading float (only 4% of shares trade publicly), AI sector sell-offs, and pending lock-up expirations rather than the business fundamentals. Near-term revenue drivers like Starlink and AI compute deals remain unaffected by the delay.

The Motley Fool · 11h ago
PicS N.V. (PICS) Investors: August 4, 2026, Filing Deadline in Securities Fraud Class Action - Contact Kessler Topaz Meltzer & Check, LLP

A securities fraud class action lawsuit has been filed against PicS N.V. (NASDAQ: PICS) alleging material misstatements and omissions in its January 30, 2026 IPO documents regarding credit models and user data. The complaint claims PicS failed to disclose deficient credit evaluation procedures, a $88 million ECL charge, elevated Stage 3 formation rates exceeding 7%, and deteriorating customer credit quality. The stock has declined over 50% from its $19 IPO price to below $9 per share. Investors have until August 4, 2026 to file for lead plaintiff status.

GlobeNewswire Inc. · 12h ago
Billionaire Israel Englander 1000X'd His Stake in a Vanguard ETF That's Been a Surefire Moneymaker, According to History

Billionaire Israel Englander of Millennium Management dramatically increased his fund's position in the Vanguard S&P 500 ETF by over 1000%, from 1,011 shares to 1,016,744 shares between December 31 and March 31. The move represents a direct bet on S&P 500 growth. Historically, the S&P 500 has delivered positive returns over every rolling 20-year period since 1900, making it a reliable long-term investment vehicle.

The Motley Fool · 15h ago
Wall Street Expects This IPO Stock to Jump 47% Over the Next 12 Months

Cerebras Systems, which completed the year's biggest IPO by May with $5.5 billion raised, is expected by Wall Street to gain 47% over the next 12 months. The company designs giant AI chips that claim to surpass Nvidia's GPUs in speed, with 58 times larger size and 2,000 times more memory bandwidth. While revenue grew 92% to $193 million in the latest quarter, the stock carries risks including reliance on a small customer base and lack of profitability. The article recommends it for aggressive investors but cautions conservative investors to stick with established players like Nvidia.

The Motley Fool · 16h ago
Prediction: 3 Reasons SpaceX Could Fall 50% Over the Next Year

SpaceX faces significant downside risks following its IPO, with analyst Geoffrey Seiler citing three major concerns: an extreme valuation of $1.7T market cap with a forward P/S multiple of 40x despite projected cash burn until 2035, CEO Elon Musk's poor track record on delivering promises (fewer than 20% delivered on schedule), and massive share dilution from 15 lockup expirations over the next year that could flood the market with over 911 million shares in the first expiration alone.

The Motley Fool · 16h ago
Dimensional Fund Advisors Ltd. : Form 8.3 - ROTORK PLC - Ordinary Shares

Dimensional Fund Advisors Ltd. disclosed a 1.70% interest in Rotrork PLC, holding 13,909,604 ordinary shares as of July 16, 2026. The disclosure was filed on July 30, 2026, in compliance with Rule 8.3 of the Takeover Code. No dealings or derivative positions were reported during the disclosure period.

GlobeNewswire Inc. · 17h ago
3 Reasons SpaceX Stock Could Drop 30% by 2028

SpaceX's stock, which recently completed its IPO at $135, could decline significantly by 2028 due to three main factors: fading post-IPO enthusiasm as investors evaluate fundamentals, substantial operating losses in its AI segment ($6.4 billion loss on $3.2 billion revenue in 2025) with unclear profitability timeline, and increasing international competition in reusable rocket technology from Japan and China that could erode its technological advantage.

The Motley Fool · 19h ago
Telia Lietuva results for 6 months of 2026

Telia Lietuva, AB reported strong first-half 2026 results with revenue growth of 7.2% to EUR 259.1 million and EBITDA exceeding EUR 100 million for the first time. The company paid a record dividend of EUR 0.14 per share (EUR 86.1 million total) and announced EUR 7.1 million investment in mobile network expansion, including 50 new base stations and modernization of 300 existing sites. The company also acquired significant 1,500 MHz frequency blocks for EUR 8 million to support 5G network development.

GlobeNewswire Inc. · 20h ago
AST SpaceMobile vs. Rocket Lab: Which Stock Is The Superior SpaceX Competitor?

SpaceX has fallen back to its IPO price of $135. The article compares two alternatives: AST SpaceMobile, which focuses on satellite-based broadband through telecom partnerships but doesn't launch its own satellites, and Rocket Lab, which will become fully integrated after acquiring Iridium Communications. All three companies are unprofitable startups, making them suitable only for aggressive growth investors.

The Motley Fool · 1d ago
Columbia Financial, Inc. Announces the Results of Its Offering; Final Merger Consideration; and Anticipated Closing Date

Columbia Financial completed its second-step conversion offering, raising $1.67 billion through the sale of 167.2 million shares at $10 per share. The company will immediately proceed with acquiring Northfield Bancorp for $580 million in aggregate merger consideration. Both transactions are scheduled to close on July 20, 2026, with trading expected to commence on July 21, 2026 under ticker symbol CLBK.

GlobeNewswire Inc. · 1d ago
Marketing Veteran Bryan Dulaney is advising SafeSpace Global on Growth Strategy

SafeSpace Global Corporation (OTCID: SSGC), an AI-powered physical safety platform for regulated care environments, announced that Bryan Dulaney, CEO of Perfect Funnel Systems, will advise the company on growth strategy. Dulaney will guide customer marketing, audience development, and business development across SafeSpace's target verticals including education, senior living, and addiction treatment. The advisory role includes designing a multi-channel customer acquisition funnel and a six-stage growth flywheel to support commercial expansion.

GlobeNewswire Inc. · 1d ago
SpaceX Just Fell Below Its IPO Price. Here's What Happens Next, According to History.

SpaceX has fallen below its $135 IPO price after an initial 20% surge. Historical analysis of major IPOs shows eight of ten experienced declines in the first three months, with an average drop of 13%. The article suggests most investors should wait for future buying opportunities rather than investing at current levels, citing the company's heavy investment needs and technology risks.

The Motley Fool · 1d ago
Why AtaiBeckley Stock Soared Today

AtaiBeckley shares surged 33.40% after pharmaceutical giant Eli Lilly agreed to acquire the mental health-focused biotechnology company for $6.75 per share in cash, plus up to $2.50 per share in milestone payments. The total deal valuation could reach approximately $3.8 billion if all conditions are met. The acquisition is expected to close in Q3, subject to shareholder and regulatory approval.

The Motley Fool · 1d ago
ZILLOW STOCKHOLDER REMINDER: Bragar Eagel & Squire, P.C. Reminds Zillow Group, Inc. Investors of the August 10th Lead Plaintiff Deadline and Urges Investors to Contact the Firm

A class action lawsuit has been filed against Zillow Group, Inc. for allegedly making false and misleading statements regarding its agreement with Redfin Corporation. The lawsuit claims Zillow mischaracterized the Redfin deal as a partnership rather than an acquisition, failed to disclose heightened regulatory and antitrust risks, and downplayed legal exposure. Investors who purchased Zillow stock between February 11, 2025 and May 7, 2026 have until August 10, 2026 to apply as lead plaintiff.

GlobeNewswire Inc. · 1d ago
Z ZG
Bragar Eagel & Squire, P.C. Encourages BitGo Holdings, Inc. Investors with Large Losses to Contact the Firm Before August 7th

A class action lawsuit has been filed against BitGo Holdings, Inc. in the U.S. District Court for the Eastern District of New York. The lawsuit alleges that BitGo's IPO offering documents were negligently prepared and contained false or misleading statements regarding the risks posed by declining digital asset prices to the company's business and financial performance. Investors who purchased BitGo securities between January 22, 2025 and May 13, 2026 have until August 7, 2026 to apply to be appointed as lead plaintiff.

GlobeNewswire Inc. · 1d ago
PicS N.V. (PICPAY) CLASS ACTION ALERT: PicS N.V. Investors Have Until August 4th to Contact Bragar Eagel & Squire, P.C. Seeking Lead Plaintiff Role

A class action lawsuit has been filed against PicS N.V. (PicPay) alleging that IPO offering documents contained false and misleading statements regarding credit evaluation procedures, loan quality, and undisclosed credit deterioration. The stock has declined over 50% from its $19 IPO price to below $9 per share. Investors have until August 4, 2026 to apply to be appointed as lead plaintiff.

GlobeNewswire Inc. · 1d ago
Stock Market Today, July 16: Lucid Group Surges on CEO's Denial of Bankruptcy and Take-Private Rumors

Lucid Group surged 8.82% on July 16, 2026, after CEO Silvio Napoli publicly denied bankruptcy and take-private rumors that had caused the stock to plunge over 50% earlier in the week. The company faces significant liquidity concerns, with shares down 93% since its 2020 IPO. Investors will await Lucid's full financial results on August 4 for clarity on the company's future direction.

The Motley Fool · 1d ago
Carriage Services Declares Quarterly Cash Dividend

Carriage Services, Inc. (NYSE: CSV) declared a quarterly dividend of 11.25¢ per share payable September 1, 2026. The company operates 155 funeral homes across 24 states and 28 cemeteries in 9 states as of June 30, 2026, and recently acquired McCammon Ammons Click Funeral Home to enter the Greater Knoxville, Tennessee market.

GlobeNewswire Inc. · 1d ago
CSV
DEADLINE ALERT for BMI, PICS, VRRM: Law Offices of Howard G. Smith Reminds Investors of Opportunity to Lead Securities Fraud Class Actions

Law Offices of Howard G. Smith has announced securities fraud class action lawsuits against four publicly-traded companies. Badger Meter is accused of pulling forward customer orders to conceal weakening demand. PicS faces allegations of misrepresenting credit quality and undisclosed credit deterioration ahead of its IPO. Verra Mobility is charged with overstating growth prospects dependent on a single customer relationship. Grail is accused of providing misleading confidence about clinical trial results. Investors have until early August 2026 to file lead plaintiff motions.

GlobeNewswire Inc. · 1d ago
Down 50% From Its High, Is CoreWeave a Bargain or a Value Trap?

CoreWeave, a neocloud company providing AI-focused cloud computing, has fallen 50% from its peak since its April 2025 IPO. The stock has been pressured by reports that major client Meta is building its own cloud infrastructure. While CoreWeave shows strong revenue growth projections (147% this year, 98% next year), the company continues to post significant losses as it invests heavily in capacity expansion. The stock trades at a cheap valuation (7.1x sales), but profitability remains years away, creating execution risk for investors.

The Motley Fool · 1d ago
Analyst Calls 8 stories
Why Pentair Stock Suddenly Plunged to a 52-Week Low This Week

Pentair stock plummeted 18.5% to a 52-week low after the company slashed its full-year sales guidance from +2-4% growth to -4-7% decline, citing pool inventory destocking and worsening business conditions. The decline was compounded by the abrupt departure of CFO Nicholas Brazis after just four months, analyst downgrades, and securities fraud investigations into the company's disclosure practices.

The Motley Fool · 5h ago
PNR
Meta Platforms: AI Return on Invested Capital Is Uncertain (NASDAQ:META)

Meta is planning massive AI data center spending of $125-145 billion in 2026 alone, but CEO Mark Zuckerberg has not provided concrete details on expected returns on investment. While the company's advertising business is performing well, analysts question whether these unprecedented capital expenditures will generate adequate returns. Meta's recent announcement to lease excess compute capacity suggests potential overbuilding.

The Motley Fool · 5h ago
Archer Aviation vs. AST SpaceMobile: Which Aerospace Stock Is a Better Buy in 2026?

The article compares two aerospace technology stocks: Archer Aviation, developing electric vertical takeoff and landing aircraft for urban air mobility, and AST SpaceMobile, building a space-based cellular broadband network. While Archer faces regulatory certification hurdles and slower revenue generation, AST SpaceMobile shows stronger revenue growth trajectory and competitive moats through partnerships with major telecom operators. The analyst recommends AST SpaceMobile as the better buy for 2026 due to its faster path to profitability and established partnerships, despite higher capital expenditures.

The Motley Fool · 5h ago
WD-40: A Well-Oiled Machine With Limited Upside

WD-40 earns a Superscore of 79 out of 100 for its strong operational efficiency, robust margins (56.6%), and disciplined focus on high-margin maintenance products. However, the stock trades at a stretched valuation (P/E of 37.7) with limited growth prospects, structural headwinds from commoditization and the EV transition, and is expected to underperform the S&P 500 over the next five years.

The Motley Fool · 7h ago
Half-Year 2026 Financial Report available

Publicis Groupe announced strong first half 2026 results with Q2 net organic growth accelerating to +4.8%, up from Q1's +4.5%. The company has upgraded its guidance for the second half of 2026 based on continued momentum across key regions.

GlobeNewswire Inc. · 8h ago
Greg Abel Sees AI-Powered Growth Ahead for This Berkshire Hathaway Subsidiary. Can This Catalyst Help the Conglomerate Outperform in the AI Era?

Berkshire Hathaway Energy is positioning itself to capitalize on growing electricity demand from AI data centers. CEO Greg Abel noted that the subsidiary is already supplying 8% of its Iowa electricity production to AI data centers, with potential for 50%+ growth over five years. However, while the opportunity is real, AI currently represents only about 4% of U.S. electricity consumption, limiting its significance as a core growth driver for the conglomerate.

The Motley Fool · 12h ago
2 AI Stocks Poised for Outperformance Over the Next 5 Years

Microsoft and Advanced Micro Devices are positioned to outperform over the next five years as AI adoption drives data center expansion. Microsoft's stock has fallen 30% from recent highs, offering a buying opportunity with strong cloud and Copilot demand, while AMD is benefiting from growing AI inference demand and gaining server CPU market share from Intel.

The Motley Fool · 17h ago
„Telia Lietuva“ 2026 m. 6 mėnesių veiklos rezultatai

Telia Lietuva, AB reported strong first-half 2026 results with revenues up 7.2% to EUR 259.1 million and EBITDA exceeding EUR 100 million for the first time. The company secured significant 1500 MHz spectrum in auctions and announced EUR 7.1 million investment in mobile network expansion, including 50 new base stations and upgrades to 300 existing ones. Record dividends of EUR 0.14 per share were paid for 2025.

GlobeNewswire Inc. · 20h ago
Macro & Fed 3 stories
Bekaert: Update over het Inkoopprogramma van Eigen Aandelen en de Liquiditeitsovereenkomst

Bekaert reports on its share buyback program for the period of July 9-15, 2026, during which Kepler Cheuvreux purchased 48,656 shares on behalf of the company for a total of €1,964,286. Under the liquidity agreement, 1,626 shares were bought and 3,800 shares were sold. As of July 15, 2026, Bekaert holds 1,779,926 treasury shares, representing 3.56% of outstanding shares.

GlobeNewswire Inc. · 19h ago
Realty Income Is the Dividend Stock I'd Buy as Cooling Inflation Turns Into a Tailwind

June's inflation report showing a decline to 3.5% year-over-year is positive news for Realty Income, a rate-sensitive REIT. With cooling inflation reducing the likelihood of further Fed rate hikes, the stock becomes more attractive for income investors seeking its 5.1% yield and 31-year dividend growth track record. The company owns 15,571 properties with 98.9% occupancy and trades at 14x expected AFFO.

The Motley Fool · 1d ago
O
The Smartest Dividend Stocks to Buy With $1,000 in July and Never Sell

The article recommends four dividend stocks as long-term buy-and-hold investments for a $1,000 portfolio: McDonald's for its global reach and 50-year dividend growth history, Waste Management for its essential services and 23-year dividend streak, Realty Income for its monthly dividend payouts and 31-year growth record, and Automatic Data Processing for its reliable cloud-based payroll services and 50-year dividend increase streak.

The Motley Fool · 1d ago
More headlines 125 stories
International Business Machines Corporation (IBM) $68 Billion Wipeout Amid Z Shortfall Triggers Investigation - HBSS

IBM shares plummeted 25% on July 14, 2026, erasing $68 billion in market value after CEO Arvind Krishna revealed severe underperformance in Q2 2026 results, particularly in the IBM Z mainframe business. The company had previously assured investors of 5%+ revenue growth but delivered only 1% total revenue growth with a 7% decline in Infrastructure revenue. Hagens Berman is investigating potential securities law violations regarding whether IBM management knew about deal closures risks earlier.

GlobeNewswire Inc. · 4h ago
IBM
Gold Miners or Silver Bars? We Compare VanEck Gold Miners ETF to iShares Silver Trust to Find the Better Buy

The article compares VanEck Gold Miners ETF (GDX) and iShares Silver Trust (SLV), two popular precious metals investment vehicles with different mechanics. While SLV provides direct exposure to physical silver bullion, GDX offers equity-based exposure to gold mining companies. Over five years, GDX delivered superior returns ($2,339 vs $2,196 on a $1,000 investment) with lower volatility. The article recommends GDX as the better buy, citing dividend income, favorable tax treatment compared to collectibles, and expectations for continued gold miner outperformance in 2026.

The Motley Fool · 4h ago
GDX
UiPath Vs. ServiceNow: Which Agentic AI Stock Is the Better Buy?

ServiceNow and UiPath are both positioned to capitalize on the growing agentic AI market, which is forecasted to grow at 46.2% CAGR through 2030. ServiceNow has faster revenue growth (22% YoY) and higher-paying customers, while UiPath recently achieved profitability and has better margin expansion potential. Both trade at similar P/E ratios, but UiPath offers better value for investors focused on margin improvement.

The Motley Fool · 4h ago
Iovance Biotherapeutics Reports Inducement Grants under NASDAQ Listing Rule 5635(c)(4)

Iovance Biotherapeutics announced the grant of inducement stock options covering 139,930 shares to seventeen new non-executive employees on July 16, 2026, with an exercise price of $4.66 per share and a three-year vesting schedule. The grants were made under the company's Amended and Restated 2021 Inducement Plan in compliance with Nasdaq Listing Rule 5635(c)(4).

GlobeNewswire Inc. · 4h ago
PENTAIR INVESTIGATION ALERT: Bragar Eagel & Squire, P.C. is Investigating Pentair plc on Behalf of Pentair Stockholders and Encourages Investors to Contact the Firm

Law firm Bragar Eagel & Squire is investigating Pentair plc for potential securities law violations following the company's July 15, 2026 announcement of significantly lowered 2026 outlook, $170 million inventory destocking impact on Pool segment sales, and immediate CFO departure. Pentair's stock fell 15% ($11.35) to $64.33 per share on the news.

GlobeNewswire Inc. · 4h ago
PNR
Dell Technologies vs. NVIDIA: Which Artificial Intelligence Stock Is a Better Buy in 2026?

Dell Technologies and NVIDIA represent different plays on the AI boom. Dell has surged over 200% in 2026 with strong server sales driven by AI adoption, while NVIDIA remains the dominant chip leader with superior financials and a 55.6% net margin. Though Dell appears cheaper on valuation metrics, NVIDIA is recommended as the better long-term investment due to its market leadership, CUDA software dominance, and stronger balance sheet.

The Motley Fool · 4h ago
ETFs Offer an Easier Way to Hold Physical Metal. Is Buying Gold or Silver the Better Bet in 2026?

The article compares two precious metals ETFs: SPDR Gold Shares (GLD) and ABRDN Physical Silver Shares ETF (SIVR). While GLD offers lower volatility with a 0.40% expense ratio, SIVR is more cost-effective at 0.30% and has outperformed gold over the past 1, 3, 5, and 10 years. The author recommends SIVR as the better buy for 2026, citing silver's higher industrial demand from renewable energy applications and superior long-term performance.

The Motley Fool · 4h ago
DBV Technologies dépose un prospectus relatif à son Programme At-The-Market (ATM) pour un montant pouvant atteindre 150 millions de dollars

DBV Technologies has filed a new S-3ASR registration statement with the SEC to renew its at-the-market (ATM) offering program for up to $150 million in American Depositary Shares (ADSs). The company plans to use proceeds primarily for manufacturing capacity expansion, pediatric BLA submissions for peanut allergy treatment, and product development. The program was established with Citizens JMP Securities as the placement agent.

GlobeNewswire Inc. · 4h ago
Glencore Announces Amendment and Restatement of Convertible Facilities Agreement With Tantalex Lithium Resources Corporation

Glencore has amended and restated its convertible facilities agreement with Tantalex Lithium Resources Corporation, maintaining US$5 million in aggregate convertible term loan facilities. The agreement includes a 20% ownership cap on conversion, a 1% gross revenue royalty on tin, lithium, and tantalum production, and expanded offtake agreements covering tin and tantalum from the TiTan project in the Democratic Republic of the Congo.

GlobeNewswire Inc. · 4h ago
Arizona Nonprofit Launches First-Ever Electric Vehicle Fundraiser Featuring the Iconic Volkswagen ID. Buzz

A Race Against Blindness, an Arizona-based nonprofit funding childhood blindness research, launched a two-week fundraiser (July 13-26, 2026) featuring a 2025 Volkswagen ID. Buzz 1st Edition 4MOTION and $20,000 in cash as the grand prize. The organization has granted over $6.1 million toward gene therapy research since its 2023 launch and aims to introduce supporters to electric vehicle benefits while advancing treatments for inherited retinal diseases.

GlobeNewswire Inc. · 5h ago
SpaceX vs. Caterpillar: Which Stock Is a Better Buy in 2026, the Aerospace Innovator or the Construction Giant?

The article compares SpaceX and Caterpillar as investment options in 2026. SpaceX shows impressive 33.2% revenue growth but operates at a $4.9 billion net loss with negative $14 billion free cash flow, trading at a 197.7x forward P/E ratio. Caterpillar generates $10.3 billion in annual free cash flow with 13.1% net margins and trades at 34.7x forward P/E. The author recommends Caterpillar as the safer choice due to profitability, dividend payments, and exposure to AI-driven data center construction, while SpaceX represents a speculative bet on long-term space economy growth.

The Motley Fool · 5h ago
Willis appoints Lars Sorensen as Life Sciences Industry Leader for North America

Willis, a WTW business, announced the appointment of Lars Sorensen as Life Sciences Industry Leader for North America. Sorensen, who brings over 30 years of experience including his previous role as Life Sciences Industry Vertical Leader at Aon, will lead Willis' life sciences strategy, drive solution development, and serve as a subject matter expert. The appointment reflects Willis' continued investment in specialty talent and commitment to delivering differentiated solutions to clients in the life sciences sector.

GlobeNewswire Inc. · 6h ago
WTW
UFC Names Meridianbet Official Partner of Fight Night Belgrade

Meridian Holdings' subsidiary Meridianbet has been named Official Partner of UFC Fight Night Serbia, marking the first UFC event ever held in Serbia. The partnership includes exclusive sports-betting sponsorship, in-venue branding, and digital marketing across UFC's global platforms. The event is scheduled for August 1, 2026 at Belgrade Arena and will air live on Paramount+ in the United States.

GlobeNewswire Inc. · 6h ago
KBWB vs. UYG: Which Financials ETF Is the Better Buy for Investors?

The Invesco KBW Bank ETF (KBWB) and ProShares Ultra Financials (UYG) offer different approaches to financial sector exposure. KBWB provides straightforward banking exposure with a 0.35% expense ratio and delivered a 39.43% one-year return, while UYG uses 2x daily leverage with a higher 0.94% expense ratio and returned 14.08% over the same period. KBWB is recommended for buy-and-hold investors, while UYG is better suited for short-term traders, though leveraged ETFs carry daily reset risks and tax inefficiency concerns.

The Motley Fool · 6h ago
SpaceX vs. AST SpaceMobile: Which Space Stock Will get Your Portfolio Into Orbit in 2026?

SpaceX and AST SpaceMobile are competing in the satellite communications space with different business models. SpaceX dominates rocket launches and operates Starlink with 10.3 million subscribers but faces massive capital requirements and negative free cash flow of -$14 billion in FY 2025. AST SpaceMobile is building a direct-to-device cellular network with partnerships from major carriers and expects profitability by 2027, though it currently has negative free cash flow of -$1.1 billion. The article recommends AST SpaceMobile as the better 2026 buy due to its more focused business plan and earlier path to profitability.

The Motley Fool · 6h ago
Malibu Boats Named a Finalist in 2026 Coolest Thing Made in Tennessee Contest

Malibu Boats, Inc. (MBUU) has been named a 2026 Coolest Thing Made in Tennessee finalist. The company, based in Loudon, Tennessee, is a leading designer and manufacturer of recreational powerboats across multiple brands including Malibu, Axis, Cobalt, Pursuit, and Saxdor. Public voting is open through July 29, 2026, with supporters able to cast one vote per day.

GlobeNewswire Inc. · 7h ago
Wegovy Pill Just Changed the GLP-1 Market. Here's Why Eli Lilly Stock Could Still Win

Novo Nordisk's oral Wegovy launch has regained market share in the GLP-1 weight-loss drug market, capturing ~89% of oral weight-loss medication prescriptions in the U.S. However, Eli Lilly's Foundayo has potential advantages including fewer food restrictions and upcoming label expansions for multiple indications. Both companies remain well-positioned in the fast-growing anti-obesity market with strong pipelines.

The Motley Fool · 7h ago
Pinterest Director Benjamin Silbermann Sells $2.1 Million Stock

Pinterest co-founder and director Benjamin Silbermann sold 93,750 shares worth $2.1 million on July 14-15, 2026, reducing his indirect equity stake by 87% through a pre-planned Rule 10b5-1 trading arrangement. Despite maintaining over 1.2 million derivative securities, the large sale size and Pinterest's 35% stock decline over the past year amid advertising headwinds have raised investor concerns about confidence in the company.

The Motley Fool · 7h ago
NCLA Urges Supreme Court to Hear Vaccine Mandate Case that Clearly Misreads Precedent

The New Civil Liberties Alliance filed an amicus curiae brief with the U.S. Supreme Court in the Boysen v. PeaceHealth case, arguing that courts have misinterpreted the 1905 Jacobson v. Massachusetts decision to justify broad vaccine mandates. NCLA contends that Jacobson should only permit mandates when vaccines prevent disease transmission to third parties, and that lower courts have failed to protect individuals' liberty interests in refusing unwanted medical treatment.

GlobeNewswire Inc. · 7h ago
PFE
Chevron Will Explore a Pipeline to Bypass the Strait of Hormuz. Here's What it Means for the Energy Stock.

Chevron has signed memorandums of understanding with Iraq to enter two major oilfields—the Nassiriya project (potential 600,000 barrels per day) and West Qurna 2 (460,000 barrels per day). The company is also evaluating pipeline routes to bypass the Strait of Hormuz, addressing export challenges caused by regional instability. These moves could significantly enhance Chevron's long-term growth prospects.

The Motley Fool · 8h ago
CVX
Adobe vs. Autodesk: What Revenue Trends Reveal About These Software Stocks

Adobe demonstrates stronger revenue momentum with eight consecutive quarters of growth, reaching $6.6 billion in Q2 2026, while Autodesk recorded its first revenue decline to $1.9 billion in Q2 2026 due to sales team reorganization. Despite leadership transitions at Adobe and market concerns about AI impact, the company maintains its competitive advantage with broader market reach compared to Autodesk's niche industry focus.

The Motley Fool · 8h ago
E.F. Hutton & Co. Serves as Exclusive Financial Advisor on Strategic Business Combination Between Glucotrack and Lōkahi Therapeutics and Exclusive Placement Agent for Approximately $5.7 Million Convertible Note Financing

E.F. Hutton & Co. served as exclusive financial advisor and placement agent for a strategic business combination between Glucotrack, Inc. and Lōkahi Therapeutics, along with a $5.7 million convertible note financing. The transaction creates a publicly traded healthcare platform combining Lōkahi's AI-driven asset sourcing capabilities with Glucotrack's Nasdaq listing, with Lōkahi becoming the operating company and Glucotrack's CBGM business continuing as a subsidiary.

GlobeNewswire Inc. · 8h ago
Deadline Alert: Veritone, Inc. (VERI) Shareholders Who Lost Money Urged To Contact Glancy Prongay Wolke & Rotter LLP About Securities Fraud Lawsuit

Veritone, Inc. faces a securities fraud class action lawsuit after disclosing accounting errors related to revenue recognition under ASC 606. The company restated financial statements for Q3 2025, revealing overstated revenue and understated net losses due to misclassification of barter transactions and software valuation errors. The stock declined significantly following multiple disclosure announcements in March and April 2026. Investors have until July 20, 2026 to file a lead plaintiff motion.

GlobeNewswire Inc. · 8h ago
This Beaten-Down Aviation Stock Is Worth a Look Despite Its 46% Decline

Joby Aviation's stock has declined 47% year-to-date, but the article argues this presents a buying opportunity for long-term investors. Despite slow regulatory progress, Joby has made significant operational advances including thousands of test miles, strategic partnerships with Toyota, Delta, and Uber, and participation in a White House-backed eVTOL program. The author views the stock as a speculative long-term play with potential for substantial gains if the urban air mobility market reaches projected valuations.

The Motley Fool · 9h ago
Sandisk Has Surged More Than 3,000% in the Last 12 Months. Could a Stock Split Be Coming?

Sandisk stock has surged over 3,000% in the past 12 months, trading around $1,400 per share as of July 2026. While a stock split may seem likely, management may hold off due to strong investor demand, potential short-term trader influx, and the availability of fractional investing. The company's growth is driven by AI infrastructure demand, with data center revenue up 645% and edge business revenue up 295% in Q3 fiscal 2026. Long-term success depends on maintaining consistent revenues through multiyear contracts rather than expecting continued 3,000% annual gains.

The Motley Fool · 9h ago
Why Did Nvidia Stock Sink Today?

Nvidia stock dropped nearly 5% on Friday following news that Chinese startup Moonshot AI unveiled a new model that narrows the gap with top U.S. AI systems. The decline reflects investor concerns about lower-cost AI alternatives reducing capital spending on infrastructure. However, the article argues the reaction is overdone, noting Nvidia continues strong growth and recently announced expansion in Japan.

The Motley Fool · 9h ago
HBSS Alerts Roblox Corporation (RBLX) Investors to Expanded Class Period; Lead Plaintiff Deadline Remains August 7, 2026

Hagens Berman has expanded a securities class action lawsuit against Roblox Corporation, covering investors who purchased stock between October 31, 2024 and April 30, 2026. The litigation focuses on alleged misleading disclosures regarding user safety and the impact of age-check verification rollout, which resulted in a 16% stock decline and significant revenue guidance cuts.

GlobeNewswire Inc. · 10h ago
HUBG NOTIFICATION: HBSS Probing Claims Hub Group (HUBG) Made Material Financial Misstatements and Internal Control Failures; Securities Class Action Pending

Hub Group (HUBG) faces a securities class action lawsuit alleging material financial misstatements, improper revenue recognition, and internal control deficiencies spanning 2023-2026. The company revealed accounting errors totaling $77 million in 2025 and restated prior year financials, resulting in $890 million in market capitalization loss and executive departures.

GlobeNewswire Inc. · 10h ago
2 Stocks to Buy in the Chip Stock Sell-Off

Following a chip stock sell-off on July 13 due to geopolitical tensions, the article recommends two semiconductor stocks for long-term investors: Nvidia, trading at attractive valuations relative to its GPU market dominance and AI infrastructure growth potential, and Marvell Technology, a leading ASIC maker positioned to benefit from increasing demand for custom AI chips from hyperscalers like Amazon and Alphabet.

The Motley Fool · 10h ago
VERI 3-DAY DEADLINE ALERT: Veritone, Inc. (VERI) Securities Class Action Filed After Admitting Improper Revenue Accounting – HBSS

Hagens Berman is investigating a securities class action against Veritone, Inc. (VERI) following the company's admission of materially misstated financial statements. The company improperly recorded revenue, overstated assets and accounts receivable, and maintained deficient internal controls during October 2025 to April 2026. Multiple disclosures in early 2026 caused significant stock declines, with the final disclosure on April 14, 2026 revealing errors in software valuation and revenue misclassification. Investors who suffered losses during the class period are eligible to serve as lead plaintiff with a July 20, 2026 deadline.

GlobeNewswire Inc. · 11h ago
GRAL Investor Alert: HBSS Probes GRAIL, Inc. (GRAL) Following Securities Class Action Over Failed NHS-Galleri Trial

Hagens Berman is investigating GRAIL, Inc. for allegedly misleading investors about its NHS-Galleri cancer screening trial. The company failed to disclose that a three-year follow-up period was insufficient to meet the trial's primary endpoint. When GRAIL revealed the trial failure on February 19, 2026, its stock collapsed 50.55%, erasing $2.2 billion in market capitalization. The class action covers the period from May 13, 2025 to February 19, 2026, with a lead plaintiff deadline of August 4, 2026.

GlobeNewswire Inc. · 11h ago
Unipart, KBR and IBM launch Team ORION to future-proof defence operations

Three industry leaders—Unipart, KBR, and IBM—have announced Team ORION, a joint venture to provide operational resilience, logistics, and technology solutions to the UK Ministry of Defence. The partnership combines Unipart's supply chain expertise, KBR's defence experience, and IBM's digital capabilities to create a sovereign, integrated defence support capability.

GlobeNewswire Inc. · 11h ago
Patent Power, Graphene Leadership, and an $815 Million Infrastructure Win

Three companies announced significant developments in advanced materials and infrastructure: Xeriant secured a U.S. patent for its fire-resistant composite technology (NEXBOARD), Argo Graphene Solutions appointed graphene scientist Dr. Vikas Berry as CEO to accelerate commercialization of its STREAM platform, and Aecon Group and Southland Holdings won a C$815 million wastewater treatment contract in Winnipeg, expanding their infrastructure backlogs.

GlobeNewswire Inc. · 11h ago
Compass Therapeutics Announces Tovecimig Data Accepted for an Oral Presentation at the ESMO Congress 2026

Compass Therapeutics announced that its abstract for tovecimig, a DLL4 x VEGF-A bispecific antibody, has been accepted for an oral presentation at the ESMO Congress 2026 in Madrid. The presentation will showcase Phase 2/3 COMPANION-002 trial results evaluating tovecimig combined with paclitaxel in patients with advanced biliary tract cancer, to be presented by Dr. Nilofer Azad from Johns Hopkins University on October 24, 2026.

GlobeNewswire Inc. · 11h ago
Former Berkshire Hathaway CEO Warren Buffett Just Said 3 Words That Could Add Some Serious Fuel to the AI Trade

Warren Buffett revealed he personally initiated Berkshire Hathaway's significant investment in Alphabet, adding over $20 billion to the position in 2025. Buffett expressed regret for not buying earlier and highlighted Alphabet's strong returns on capital and diverse business portfolio as reasons for the investment, signaling cautious optimism toward AI despite concerns about massive capital expenditures required for AI infrastructure.

The Motley Fool · 11h ago
Why Shares of AST SpaceMobile Collapsed 25% This Week

AST SpaceMobile's stock plummeted 25% this week after the company announced a $1 billion convertible bond offering, surprising investors given its $3 billion cash balance. The company faces significant headwinds including $1.37 billion in annual cash burn, operational delays from Blue Origin launch failures, and a high conversion price of $79.60 versus the current $55 share price. Despite the decline, the stock remains expensive relative to fundamentals.

The Motley Fool · 11h ago
From Amazon #1 Bestseller to National Award Winner: Independent Author Noelle Hipke's Ascension Series Gains Momentum - HipKey TV Press Announces

Independent author Noelle Hipke's second book in the Ascension Series, 'Earth Games: Playbook Rules & Regulations,' won Silver in the 2026 COVR Visionary Awards. Her debut book 'Superpowers' achieved Amazon #1 bestseller status and multiple national literary awards. Hipke is completing the trilogy while seeking literary representation and publishing partnerships.

GlobeNewswire Inc. · 11h ago
Military Drone (UAV) Market to Reach USD 22.81 Billion by 2030, Growing at 7.6% CAGR, Says MarketsandMarkets™

The global Military Drone (UAV) Market is projected to grow from USD 34.85 billion in 2026 to USD 109.22 billion by 2031 at a CAGR of 25.7%, driven by rising defense budgets, geopolitical tensions, and advancements in AI and autonomy. Strategic drones and ISR applications dominate the market, with North America leading and the Middle East & Africa showing fastest growth. Key players include Northrop Grumman, RTX, and General Atomics.

GlobeNewswire Inc. · 11h ago
Financial Analytics Market Worth $36.10 Billion by 2035 as AI and Predictive Analytics Transform Enterprise Finance | Research by SNS Insider

The global financial analytics market is projected to grow from $12.15 billion in 2025 to $36.10 billion by 2035, driven by AI adoption, cloud computing, and predictive analytics. North America leads with 35% market share, while Europe and Asia Pacific show strong growth potential. Large enterprises dominate, but SMEs are expected to grow fastest due to affordable cloud-based solutions.

GlobeNewswire Inc. · 12h ago
Muscle Stimulator Market Size to Reach USD 1,156.54 Million by 2035 | SNS Insider

The global muscle stimulator market is valued at $812.01 million in 2025 and is projected to reach $1,156.54 million by 2035, growing at a CAGR of 3.6%. Growth is driven by increasing adoption of neuromuscular electrical stimulation devices for pain management, rehabilitation, and sports medicine. TENS technology dominates with 67.4% market share, while portable devices account for 46.88% of the market. North America leads with 41.9% revenue share, while Asia Pacific registers the fastest growth.

GlobeNewswire Inc. · 13h ago
Atlas Healthcare Fund by VST Capital Entered Eli Lilly at $350 in 2020 — The Stock Now Trades Above $1,200

Atlas Healthcare Fund, managed by VST Capital, showcased its track record of early conviction investments in healthcare, with notable positions in Eli Lilly (entered at $350, now trading above $1,200), Alnylam Pharmaceuticals, TransMedics Group, and Inari Medical. The fund has delivered cumulative net returns of +1,720.9% since inception in January 2020, averaging over 57% annually, by identifying clinically differentiated technologies before mainstream market recognition.

GlobeNewswire Inc. · 13h ago
American Critical Minerals to Present at the Precious Metals & Critical Minerals Virtual Investor Conference on July 23rd

American Critical Minerals Corp. announced that its President and CEO Dean Pekeski will present at the Precious Metals & Critical Minerals Virtual Investor Conference on July 23rd, 2026. The company is advancing exploration of its Green River Project in Utah's Paradox Basin, with plans to commence drilling operations in August 2026 targeting potash, lithium, and bromine deposits.

GlobeNewswire Inc. · 13h ago
IPI
This Stock Has Skyrocketed 125% in 2026 -- and Billionaire Stanley Druckenmiller Is Loading Up on It

Revolution Medicines, a pre-revenue biotech company developing targeted cancer treatments to replace chemotherapy, has surged 125% in 2026. The company's flagship drug Daraxonrasib received FDA Breakthrough Therapy designation and is undergoing accelerated review by the EMA. Billionaire Stanley Druckenmiller's Duquesne Family Office purchased 316,000 shares worth $30.6 million in Q1 2026, now valued at $56.6 million, signaling confidence in the company's potential despite its speculative nature.

The Motley Fool · 13h ago
2 Nuclear Stocks Poised to Benefit From Rising AI Adoption

Rising AI adoption is driving massive energy demand from data centers, positioning nuclear energy—particularly small modular reactors (SMRs)—as an ideal solution. NuScale Power and Oklo are two early-stage SMR companies positioned to benefit from this trend, though both face regulatory hurdles and commercialization risks. Major investment banks including Goldman Sachs, Bank of America, and Morgan Stanley are bullish on nuclear's renaissance.

The Motley Fool · 13h ago
Amneal Expands Iohexol Injection Portfolio with U.S. FDA Approval of Additional Strengths and Presentations

Amneal Pharmaceuticals received FDA approval for additional strengths and vial presentations of iohexol injection (350 mg iodine/mL and 300 mg iodine/mL), with planned Q3 2026 launch. The expanded portfolio is expected to address the majority of U.S. iohexol injection market demand, which generated approximately $706 million in annual sales as of May 2026.

GlobeNewswire Inc. · 13h ago
VisionWave Files Provisional Patent Application for GhostSight™, a Hybrid Passive Radar Architecture Using Intelligent Cooperative Illumination

VisionWave Holdings announced the filing of a provisional patent application for GhostSight™, a hybrid passive radar system designed for defense and security applications. The system combines existing environmental RF signals with cooperative illumination sources to detect and track objects while maintaining a receive-only passive receiver layer. The technology is intended for military base protection, counter-UAS operations, border surveillance, and critical infrastructure protection.

GlobeNewswire Inc. · 13h ago
Jackery FridgeGuard Now Available Exclusively at Costco, Offering Smart Refrigerator Backup Protection for Unexpected Outages

Jackery announced that its FridgeGuard, an ultra-slim refrigerator backup battery system, is now available exclusively at Costco. The device offers 15 hours of runtime, instant 10ms UPS switchover, and 1600W output to protect refrigerators during power outages. Priced at $549.99 for Costco members, FridgeGuard requires no installation and features a compact 2.6-inch profile, addressing the growing concern of power outages affecting U.S. households.

GlobeNewswire Inc. · 13h ago
VOO vs. VTI: If a Bear Market Is Coming, Here's Which One I'm Stocking Up On

The article compares two Vanguard ETFs—VOO (S&P 500) and VTI (Total Stock Market)—as potential bear market hedges. While both track broad U.S. stock markets with similar top holdings, VTI offers slightly better diversification with lower tech concentration (35% vs 40%), making it potentially less vulnerable to AI sector volatility. However, VOO has outperformed recently due to tech strength.

The Motley Fool · 14h ago
The Trade Desk Has Fallen 76% This Year: Here's What Investors Should Know

The Trade Desk's stock has plummeted 76% in 2026 due to slowing growth expectations, intense competition from Amazon's DSP, a public dispute with Publicis, management turnover, and macro headwinds. While trading at historically cheap valuations (6x adjusted EBITDA), the company faces significant near-term and long-term challenges that must be resolved before it becomes an attractive investment opportunity.

The Motley Fool · 14h ago
Goodfirms Launches Prediction Marketplace Vendor Recipe Covering 100+ Providers, 20 Categories

Goodfirms has released a comprehensive vendor guide for building prediction marketplace platforms, featuring 100+ vetted providers across 20 technology categories and 4 build phases, with costs ranging from $25,000 to $2,000,000+. The resource maps vendors through Foundation, Compliance & Risk, Product Build, and Launch & Operations phases, treating platform development as a procurement problem rather than purely an engineering challenge.

GlobeNewswire Inc. · 14h ago
BrewDog and Tilray Brands Unlock £1 Million Bar Tab for Football Fans Across England, Scotland and Ireland

BrewDog and Tilray Brands are launching a £1 million bar tab promotion at participating BrewDog pubs across England, Scotland, and Ireland from July 20 through September 30, 2026. The promotion offers fans two free pints per person via the BrewDog Treats loyalty platform, available on a first-come, first-served basis. The initiative aims to bring football supporters together for watch parties and celebrations throughout the tournament season.

GlobeNewswire Inc. · 14h ago
Kalaris Therapeutics Reports Positive TH103 Phase 1a SAD Results from Expanded Neovascular AMD Cohorts

Kalaris Therapeutics announced positive Phase 1a data for TH103, its investigational treatment for neovascular AMD. The expanded trial of 17 treatment-naive patients showed improvements in vision and retinal anatomy, with 29% requiring no additional anti-VEGF treatment during six-month follow-up. TH103 demonstrated 27-53 fold lower plasma levels compared to leading anti-VEGF agents while maintaining efficacy. The company is actively enrolling patients in Phase 1b/2 trials with preliminary data expected in H1 2027.

GlobeNewswire Inc. · 14h ago
Mass Spectrometry Market Size Worth USD 14.09 Billion by 2035 | SNS Insider

The global mass spectrometry market is valued at $6.68 billion in 2025 and is projected to reach $14.09 billion by 2035, growing at a CAGR of 7.74%. Growth is driven by pharmaceutical manufacturing, omics research, clinical diagnostics, and precision medicine adoption. North America leads the market while Asia Pacific records the fastest growth at 9.12% CAGR.

GlobeNewswire Inc. · 15h ago
Clinical Stage Partnering Terms and Agreements in Pharmaceuticals and Biotechnology 2020-2026 | Benchmark More Than 1,800 Biopharma Deals with Various Indexes

ResearchAndMarkets.com released a comprehensive report analyzing over 1,859 clinical-stage pharmaceutical and biotechnology partnership deals announced since 2020. The report provides detailed financial terms, deal structures, contract documents, and insights into negotiation dynamics for clinical-stage drug development collaborations, serving as a benchmarking resource for biopharma dealmakers.

GlobeNewswire Inc. · 15h ago
Cancer Biomarkers Market to Reach US$ 54.48 Billion by 2032 as Precision Oncology and Multi-Omics Adoption Accelerate

The global cancer biomarkers market is valued at USD 28.25 billion in 2026 and is projected to reach USD 54.48 billion by 2032, expanding at an 11.6% CAGR. Growth is driven by rising cancer incidence, technological advances, adoption of precision medicine, and liquid biopsy techniques. Omics technologies and breast cancer diagnostics lead segment growth, while Asia-Pacific emerges as the fastest-growing region. Key players include Roche, Thermo Fisher, Illumina, and Agilent Technologies.

GlobeNewswire Inc. · 15h ago
Elon Musk Is Betting Big on Natural Gas. Here's What It Means for Energy Stocks.

Elon Musk's SpaceX is heavily investing in natural gas infrastructure for its xAI data centers and Starship rocket fuel production, signaling that natural gas will remain integral to the economy during the energy transition. This trend is benefiting equipment manufacturers and engineering contractors, particularly GE Vernova and Argan, which are experiencing surging backlogs and strong order momentum.

The Motley Fool · 15h ago
Got $1,000? 2 High-Growth Artificial Intelligence (AI) Moonshots With Massive Upside Potential.

The article highlights two AI moonshot stocks with significant upside potential: Nebius, a neocloud company providing AI computing infrastructure with 684% YoY revenue growth and partnerships with Microsoft and Meta, and IonQ, a quantum computing leader with industry-leading 99.99% two-qubit gate fidelity. Both companies offer massive growth opportunities but carry execution risks—Nebius must achieve profitability while scaling, and IonQ faces intense competition in the quantum computing space.

The Motley Fool · 15h ago
Had You Parked $5,000 in This Vanguard ETF When Warren Buffett Recommended It in 2014, Here's How Much You'd Have Today

An investor who placed $5,000 in the Vanguard S&P 500 ETF (VOO) when Warren Buffett recommended it in 2014 would have approximately $24,344 today, reflecting a 14.1% compound annual return. Buffett advocates for low-cost index funds as a reliable investment strategy for average investors, citing the ETF's minimal 0.03% expense ratio. The article suggests similar returns are reasonable going forward, driven by growth in AI, robotics, and other emerging technologies.

The Motley Fool · 15h ago
Here's Why Shares in PBF Energy Popped Higher (And are a Great Way to Hedge Geopolitical Conflict)

PBF Energy stock rose 10.5% this week and is up nearly 125% in 2026, driven by widening crack spreads (the difference between refined product prices and crude oil prices). The increase is fueled by geopolitical tensions in the Strait of Hormuz following the collapse of a memorandum of understanding with Iran, which restricts commercial traffic and reduces global refined product supply. This benefits PBF as a U.S. refiner that can access domestic crude while profiting from higher margins on refined products.

The Motley Fool · 15h ago
PBF
Ragnarok: Rebirth Global Officially Launched in North, Central and South America (except Brazil) on July 16, 2026

GRAVITY Co., Ltd. announced the official launch of Ragnarok: Rebirth Global, a 3D MMORPG mobile game, in North, Central and South America (excluding Brazil) on July 16, 2026. The game features classic Ragnarok IP elements with modern convenience systems, flexible screen layouts, and a reduced monetization burden through an item trade system and idle gameplay mechanics.

GlobeNewswire Inc. · 15h ago
Form 8.5 (EPT/RI)-Gamma Communications Plc

Investec Bank plc, acting as Joint Broker to Gamma Communications Plc, disclosed public dealing in ordinary shares of Gamma Communications on 16th July 2026. The bank purchased and sold 21,254 ordinary shares at prices between 93 and 96 pence per unit. No derivative transactions, indemnity arrangements, or special agreements were involved in the dealings.

GlobeNewswire Inc. · 16h ago
Man Group PLC : Form 8.3 - Senior plc

Man Group PLC has disclosed a 1.62% position in Senior Plc through cash-settled derivatives (equity swaps), totaling 6,829,122 relevant securities. The disclosure was made on 17/07/2026 following dealings on 16/07/2026, with three separate equity swap transactions increasing long positions at a price of 2.8950 GBP per unit.

GlobeNewswire Inc. · 16h ago
Bioinformatics Collaboration and Licensing Deals 2019-2026 | Compare Upfronts, Milestones, and Royalties for 1,230+ Deals

ResearchAndMarkets.com released a comprehensive report analyzing 1,230+ bioinformatics collaboration and licensing deals from 2019-2026, providing detailed benchmarking of upfronts, milestones, and royalty structures. The report serves as a reference for understanding how partnerships are structured in data-driven and platform-based transactions across the bioinformatics industry.

GlobeNewswire Inc. · 16h ago
President Trump's Major Marijuana Move: What It Means for Canopy Growth, Green Thumb, and Tilray

President Trump's executive order to reschedule medical marijuana from Schedule I to Schedule III provides limited benefits to major cannabis companies. While the rescheduling eliminates IRS Section 280E tax restrictions for medical marijuana businesses, it only applies to medical products, not the larger recreational market. Canopy Growth, Tilray, and Green Thumb Industries face minimal direct impact due to their business structures and market focus, though the change creates new regulatory compliance burdens.

The Motley Fool · 16h ago
3 Dividend ETFs Built for Long-Term Investors to Buy and Hold

The article recommends three dividend ETFs for long-term investors: Vanguard Dividend Appreciation ETF (VIG) with $111B in assets and a 0.04% expense ratio, iShares Select Dividend ETF (DVY) offering a 3.4% yield with defensive and value stock exposure, and First Trust NASDAQ Technology Dividend Index Fund (TDIV) focusing on tech dividend payers. S&P Dow Jones Indices forecasts 6.5% U.S. dividend growth in 2026.

The Motley Fool · 16h ago
This Detroit Auto Stock Has Soared, but There's Still One Nagging Problem: China

General Motors has significantly outperformed rivals Ford and Stellantis due to strong cash flow and buybacks, but faces a major challenge in China where operations have deteriorated from a profit engine to a financial liability. GM has taken $5+ billion in charges and restructuring costs since 2024, with sales declining 20% in Q2 2026. The company is attempting a turnaround with new EV strategies and export hub development, with a critical joint venture contract expiring in 2027.

The Motley Fool · 16h ago
12 Words From Billionaire Warren Buffett That Will Echo Through Wall Street for Years to Come

Warren Buffett, who retired as Berkshire Hathaway CEO on Dec. 31, warns that the stock market is plagued by gambling culture rather than genuine investing. He criticizes current market valuations as excessive, with the Buffett indicator hitting an all-time high of 238.5% and the S&P 500's Shiller P/E ratio near 43, indicating a lack of value in today's market.

The Motley Fool · 16h ago
Orion-konsernin puolivuosikatsaus tammi–kesäkuu 2026

Orion reported strong H1 2026 results with revenue of €939.3 million (+21.8% YoY) and operating profit of €291.3 million (+59.6% YoY). The company raised its 2026 guidance, expecting revenue of €2,000-2,100 million and operating profit of €650-750 million. Key drivers include growth in Nubeqa royalties, FDA approval for Animal Health product Tessie®, and significant progress in ODM-212 cancer drug development with orphan drug designations.

GlobeNewswire Inc. · 16h ago
Indium Phosphide Wafer Market Size to Hit USD 679.76 Million by 2035 | SNS Insider

The global Indium Phosphide (InP) Wafer Market is valued at $202.21 Million in 2025 and is projected to reach $679.76 Million by 2035, growing at a CAGR of 12.89%. Growth is driven by AI data centers, 5G/6G infrastructure expansion, high-speed optical communications, and semiconductor innovation. North America leads with 44% market share, while Asia Pacific is expected to grow fastest at 14.66% CAGR.

GlobeNewswire Inc. · 18h ago
History Might Be Telling Us Why Nvidia Stock Is So Cheap. Should Investors Listen?

Nvidia's stock trades at a modest 32x P/E ratio despite 85% yearly revenue growth, potentially reflecting investor concerns about historical tech spending booms ending in busts (dot-com, Great Depression). However, the article argues Nvidia's low forward valuation of 24x and strong predicted growth through fiscal 2027 suggest the stock is insulated from such risks, even if AI spending eventually slows.

The Motley Fool · 18h ago
Rigetti Could Be a Huge Winner in Sovereign Quantum Hardware

Rigetti Computing is positioning itself as a potential winner in sovereign quantum hardware through its U.S.-based Fab-1 facility, government-linked research, and superconducting quantum platform. The company's prospects depend on whether America treats domestic quantum capability as strategic infrastructure. The stock is described as a risky but fascinating investment opportunity.

The Motley Fool · 18h ago
Bekaert: Update on the Share Buyback Program and the Liquidity Agreement

Bekaert repurchased 48,656 shares during the week of 9-15 July 2026 under its €75 million buyback program announced in February 2026, with an average price of €40.37 per share totaling €1.96 million. Under its liquidity agreement with Kepler Cheuvreux, the company bought 1,626 shares and sold 3,800 shares. As of 15 July 2026, Bekaert holds 1,779,926 own shares representing 3.56% of outstanding shares.

GlobeNewswire Inc. · 19h ago
Realkredit Danmark reports net profit of DKK 2,388 million for the first half of 2026

Realkredit Danmark reported net profit of DKK 2,388 million for H1 2026, down from DKK 2,455 million in H1 2025, driven by margin pressure and lower loan impairment reversals. The company maintained strong credit quality with a 48% average loan-to-value ratio and grew its green lending portfolio to DKK 36 billion. Positive lending growth returned in the personal customer segment during Q2, supported by robust housing market activity. The company expects full-year 2026 net profit between DKK 4.4-4.7 billion.

GlobeNewswire Inc. · 20h ago
SpaceX, Alphabet, and SK Hynix Are Quietly Flashing a Bullish Signal Investors Should Not Ignore

SpaceX, Alphabet, and SK Hynix are significantly increasing capital expenditures on AI infrastructure, signaling strong continued demand for Nvidia's products. SpaceX is investing $30.8 billion annually in its AI segment, Alphabet committed to $180-190 billion in capex with further growth expected in 2027, and SK Hynix is investing $743 billion to expand HBM chip manufacturing capacity. These investments suggest the AI infrastructure spending boom is accelerating rather than facing a slowdown.

The Motley Fool · 21h ago
Warren Buffett Just Revealed He -- Not Greg Abel -- Made Berkshire's Big Alphabet Bet. Should You Follow Him In?

Warren Buffett revealed he personally initiated Berkshire Hathaway's $31 billion Alphabet investment, calling it a mistake not to buy sooner. Despite owning the position, Buffett expressed concerns about the massive AI spending by Alphabet and competitors. Alphabet showed strong Q1 2026 results with 22% revenue growth and Google Cloud accelerating at 63%, though the company faces risks from heavy capital expenditure plans of $180-190 billion annually.

The Motley Fool · 1d ago
Brookfield Wealth Solutions Announces Shareholder Approval of Transaction to Simplify Corporate Structure and Results of 2026 Annual General and Special Meeting

Brookfield Wealth Solutions shareholders approved a corporate restructuring transaction that will result in the company being delisted and Brookfield Corporation becoming the new parent entity listed on TSX and NYSE under symbol 'BN'. The transaction is expected to close by year-end pending regulatory approvals. All nominated board directors were elected.

GlobeNewswire Inc. · 1d ago
LCID DEADLINE: ROSEN, A LONGSTANDING FIRM, Encourages Lucid Group, Inc. Investors with Losses in Excess of $100K to Secure Counsel Before Important July 28 Deadline in Securities Class Action - LCID

Rosen Law Firm is reminding Lucid Group, Inc. investors who purchased securities between February 25, 2026 and April 13, 2026 of the July 28, 2026 deadline to join a securities class action lawsuit. The lawsuit alleges that Lucid made false and misleading statements regarding supplier quality issues that disrupted Lucid Gravity deliveries and negatively impacted the company's business and financial results.

GlobeNewswire Inc. · 1d ago
What This Billionaire Co-Founder's Credo Sale Signals With Shares Up 139%

Chi Fung Cheng, CTO of Credo Technology Group, sold 27,500 shares worth $6.6 million through a pre-arranged trading plan established in September 2025. The sale represents only 0.46% of his total holdings, with the insider maintaining approximately 6 million shares worth over $1.3 billion. The transaction is characterized as routine diversification following a 139% one-year stock surge, rather than a bearish signal. Credo has demonstrated strong fundamentals with tripled fiscal 2026 revenue exceeding $1.3 billion and net income growth of over 500%.

The Motley Fool · 1d ago
Alibaba Investor News: If You Have Suffered Losses in Alibaba Group Holding Limited (NYSE: BABA), You Are Encouraged to Contact The Rosen Law Firm About Your Rights

Rosen Law Firm has launched a securities investigation into Alibaba Group Holding Limited following allegations by Anthropic that Alibaba obtained illicit access to Claude AI through fake accounts. The news triggered a 2.7% decline in Alibaba's American Depositary Shares on June 24, 2026. The firm is preparing a class action lawsuit to recover investor losses.

GlobeNewswire Inc. · 1d ago
Why Verizon Stock Topped the Market on Thursday

Verizon Communications stock surged over 2% on Thursday, outperforming the S&P 500's 0.4% gain, following the company's announcement to sell 274 retail stores and cut approximately 500 corporate jobs. The restructuring shifts Verizon toward a franchise model for retail operations, with the company retaining direct operation of only about 1,000 stores. This move is part of CEO Dan Schulman's broader efficiency initiative announced last October, which includes a 15% workforce reduction and AI-driven automation of customer service functions.

The Motley Fool · 1d ago
VZ
Novartis Fabhalta® (iptacopan) receives FDA traditional approval as first and only complement inhibitor to significantly slow kidney function decline in primary IgAN

Novartis announced FDA traditional approval for Fabhalta (iptacopan) to slow kidney function decline in adults with primary IgAN. The drug demonstrated a 48% reduction in eGFR decline versus placebo over two years in the Phase III APPLAUSE-IgAN study. Fabhalta is the first complement inhibitor approved for this indication and represents a significant advancement in treating this chronic autoimmune kidney disease.

GlobeNewswire Inc. · 1d ago
NVS
SL Green Continues SUMMIT Global Expansion in Tokyo

SL Green Realty Corp. announced that SUMMIT Entertainment Ventures (SEV), its joint venture with artist Kenzo Digital, will open a SUMMIT immersive observatory experience in Tokyo, marking the second global location following the successful SUMMIT One Vanderbilt in Manhattan and the anticipated SUMMIT Paris opening in June 2027. The Tokyo location will feature an evolved design honoring Japanese cultural principles.

GlobeNewswire Inc. · 1d ago
A Big Bet on Fusion Just Became the First to be Publicly Listed, and it’s making a lot of noise

General Fusion Group Ltd. (GFUZ) debuted on Nasdaq as the first publicly listed fusion energy company, rallying approximately 21% on its first trading day. The Vancouver-based company, backed by Jeff Bezos and Tobias Lütke, uses a mechanically-driven Magnetized Target Fusion approach and entered public markets with ~$150 million to fund technical milestones through 2028, including reaching the Lawson criterion for net energy production.

GlobeNewswire Inc. · 1d ago
A Credo Insider Sold $11.3 Million in Stock After a 121% Run — Here's What Investors Should Know

Credo Technology Group's COO Yat Tung Lam sold 50,000 shares worth $11.3 million on July 15, 2026, through a pre-planned Rule 10b5-1 trading arrangement. Despite the sale, Lam maintains over 3 million shares in the company. The article characterizes this as routine profit-taking after the stock's 121% one-year run, not a sign of concern. Credo reported strong fiscal results with revenue exceeding $1.3 billion and net income of $472.3 million, though the company faces concentration risk with 90% of revenue from its top 10 customers.

The Motley Fool · 1d ago
Amazon: A Deeper Look at the Cloud Growth Story (NASDAQ:AMZN)

Amazon's AWS division posted impressive 28% YoY revenue growth in Q1 2026 with a $364 billion backlog, driven by AI demand. However, the backlog heavily relies on spending commitments from Anthropic and OpenAI, which have combined annual revenues of only $72 billion against $27 billion in yearly AWS obligations. Amazon plans $200 billion in capital expenditures for 2026, resulting in negative free cash flow, creating uncertainty about the sustainability of these commitments.

The Motley Fool · 1d ago
Better Growth ETF: Vanguard's VOOG Targeting the S&P 500 vs. State Street's Small Cap-Focused SLYG

Vanguard's VOOG and State Street's SLYG offer different growth investment strategies. VOOG focuses on large-cap tech stocks with higher returns (25.3% 1-yr, $1,941 on $1k invested over 5 years) but greater volatility, while SLYG targets small-cap growth stocks with more balanced sector exposure and lower volatility. VOOG has a lower expense ratio (0.07% vs 0.15%) and is better for tech-focused portfolios, whereas SLYG suits investors seeking diversification beyond the S&P 500.

The Motley Fool · 1d ago
Lemonade Is Keeping More of Its Own Insurance Risk. Is That a Sign of Confidence or a Red Flag?

Lemonade has reduced its reinsurance coverage from 20% to 18% of gross written premiums, retaining more insurance risk as its AI-driven underwriting models improve. The company's gross loss ratio improved significantly to 62% in Q1 2026 from 83% in Q1 2024, suggesting growing confidence in its underwriting capabilities. While the move exposes Lemonade to additional risk, it signals the company is maturing as an insurer and moving closer to profitability.

The Motley Fool · 1d ago
Adams Diversified Equity Fund Announces First Half 2026 Performance

Adams Diversified Equity Fund (ADX) announced a 10.8% total return on net asset value for the first half of 2026, outperforming the Morningstar U.S. Large Blend category (9.5%) and slightly trailing the S&P 500 (10.2%). The fund's net assets grew to $3.29 billion from $2.80 billion year-over-year, with significant holdings in technology stocks including NVIDIA, Apple, and Alphabet.

GlobeNewswire Inc. · 1d ago
UPDATE – Glucotrack and Lōkahi Therapeutics Complete Strategic Business Combination, Establishing Lōkahi-Controlled Public Platform

Glucotrack, Inc. (NASDAQ: GCTK) completed a strategic business combination with Lōkahi Therapeutics, creating a publicly listed platform for identifying and advancing healthcare assets. Lōkahi Therapeutics securityholders will hold approximately 90% of the combined company on a fully diluted basis. Erik Emerson was appointed CEO, while Glucotrack's continuous blood glucose monitoring (CBGM) technology will operate as a separate subsidiary under Paul Goode's leadership. The transaction is supported by a planned private placement financing.

GlobeNewswire Inc. · 1d ago
Cycurion Receives Nasdaq Delisting Determination Letter; Appeal Underway, Trading to Continue, Focus on Shareholder Value

Cycurion received a Nasdaq delisting determination letter due to its stock price falling below the $1.00 minimum bid price requirement for 31 consecutive business days. The company plans to appeal the decision before the Nasdaq Hearings Panel, which will allow trading to continue during the process. Despite the delisting threat, Cycurion maintains strong business momentum with over $28 million in annual revenue run rate and recently secured multi-year customer agreements.

GlobeNewswire Inc. · 1d ago
The "Magnificent Seven" Are at Their Lowest Relative Valuations in a Decade. My 3 Favorite Mag 7 Stocks to Buy.

The Magnificent Seven stocks are trading at their lowest relative valuations in a decade, with their P/E premium over the S&P 500 falling to just 10% from a historical 30%. The author recommends Amazon, Alphabet, and Meta as the best buying opportunities, citing their strong AI capabilities, cost advantages, and attractive valuations despite solid growth prospects.

The Motley Fool · 1d ago
ICZOOM Group Inc. Announces Receipt of Nasdaq Continued Listing Deficiency Letter

ICZOOM Group Inc. (Nasdaq: IZM) received a notification from Nasdaq on July 14, 2026, for non-compliance with Listing Rule 5250(c)(2) due to failure to file Form 6-K containing interim financial statements for the six-month period ended December 31, 2025. The company has until September 14, 2026, to submit a compliance plan, with a potential extension until December 28, 2026. The company is working to complete the required filing and maintain Nasdaq listing standards.

GlobeNewswire Inc. · 1d ago
IZM
TDb Split Corp. Announces Class A Share Split and Increased Total Distributions

TDb Split Corp. announced a share split of its Class A shares, where shareholders will receive 15 additional shares for every 100 held. The company will maintain monthly cash distributions of $0.05 per share, resulting in approximately 15% increase in total distributions through additional share issuance. The split reflects the company's strong performance and is expected to be non-taxable.

GlobeNewswire Inc. · 1d ago
TD
Lowey Dannenberg, P.C. is Investigating The Ensign Group (NASDAQ: ENSG) for Potential Violations of the Federal Securities Laws

Law firm Lowey Dannenberg is investigating The Ensign Group for potential federal securities law violations following short-seller reports alleging systemic quality-measure gaming, falsified care-quality data, improper related-party billing, and possible Medicare/Medicaid fraud. The allegations caused significant stock price declines and shareholder losses.

GlobeNewswire Inc. · 1d ago
Lowey Dannenberg Notifies Hub Group, Inc. (NASDAQ: HUBG) Investors of Securities Class Action Lawsuit and Encourages Investors with more than $100,000 in Losses to Contact the Firm

Lowey Dannenberg P.C. has filed a class action lawsuit against Hub Group, Inc. (NASDAQ: HUBG) alleging violations of federal securities laws. The lawsuit covers investors who purchased Hub Group securities between April 28, 2023, and May 11, 2026. Defendants are accused of making materially false and misleading statements regarding premature revenue recognition, understatement of costs, and internal control effectiveness. The stock declined significantly when the truth was revealed. The firm is seeking investors with losses exceeding $100,000 to participate in the lawsuit, with a Lead Plaintiff deadline of August 28, 2026.

GlobeNewswire Inc. · 1d ago
Favorable Medicare Coverage Decision Supports Commercial Adoption of iMDx GraftAssure Assay Portfolio

Medicare issued a favorable local coverage determination (LCD) for donor-derived cell-free DNA (dd-cfDNA) testing, expanding reimbursement for transplant organ monitoring. The policy increases surveillance testing frequencies across kidney and heart transplants compared to previous guidelines, supporting iMDx's commercial strategy for in-house testing kits. The company's flagship GraftAssureCore test is reimbursed at $2,753 per result, while GraftAssureDx awaits FDA marketing authorization.

GlobeNewswire Inc. · 1d ago
Toll Brothers Announces New Luxury Home Community Now Open in Yardley, Pennsylvania

Toll Brothers opened Oakvale at Yardley, a new luxury residential community in Bucks County, Pennsylvania, featuring 47 single-family homes on half-acre lots ranging from 3,677 to over 5,210 square feet. Homes are priced starting at $1.59 million with 4-5 bedrooms and proximity to major commuter routes and the Pennsbury School District.

GlobeNewswire Inc. · 1d ago
TOL
Toll Brothers Announces Grand Opening of Vista Ventana in La Mirada, California

Toll Brothers, the nation's leading luxury home builder, announced the opening of Vista Ventana, a new luxury condo community in La Mirada, California, featuring 42 townhome-style condos priced from the low $900,000s. The community officially opens for sales on July 18, 2026, with a Model Home Grand Opening event. The development offers 3-4 bedroom units with modern amenities and is strategically located near shopping, dining, and major attractions like Disneyland.

GlobeNewswire Inc. · 1d ago
TOL
Assembli to Produce Big Ten Conference Activation at Fanatics Fest in New York

Assembli has been selected to design and produce the Big Ten Conference's first-ever fan experience at Fanatics Fest NYC (July 16-19, 2026), making the Big Ten the first collegiate conference to participate in the event. The activation will feature the Heisman Trophy, CFP National Championship Trophy, interactive games, and fan engagement activities. Assembli will also return for its third consecutive year to produce the Big Ten Championship Fan Fest in December 2026.

GlobeNewswire Inc. · 1d ago
A Live Nation Vice President Sold Company Shares Worth $1.1 Million. Here's What That Means for Investors.

Live Nation Entertainment Executive Vice President John Hopmans sold 6,083 shares worth $1.1 million on July 11, 2026. The sale was a non-discretionary transaction to satisfy tax withholding obligations from vesting restricted stock units, not a reflection of insider concerns about the stock. Hopmans retains ~178,000 shares valued at $32.69 million. The sale occurred shortly after Live Nation's stock hit a 52-week high of $188, following strong Q1 2026 results with 12% year-over-year revenue growth, though the company faced a $450 million legal settlement related to an antitrust case.

The Motley Fool · 1d ago
LYV
Which Is the Better Energy ETF, VanEck's Nuclear-Focused NLR or State Street's XOP Targeting Oil and Gas?

The article compares two energy ETFs: VanEck's NLR (nuclear/uranium-focused) and State Street's XOP (oil & gas exploration). XOP delivered 22.6% one-year returns with a lower 0.35% expense ratio, while NLR offers higher 2.9% dividend yield but carries a 0.52% expense ratio. Over five years, NLR outperformed with $2,441 vs $1,904 growth on $1,000 invested, reflecting the global shift toward cleaner energy sources.

The Motley Fool · 1d ago
Denodo Platform 9.5 Provides Agentic AI with Active Context, to Act Effectively and Responsibly

Denodo released Platform 9.5, advancing its AI data layer with expanded enterprise knowledge graphs, metric views for standardized business metrics, enhanced AI assistant reasoning, and broader ecosystem connectivity including Databricks and Azure AI Search integration. The platform aims to provide trusted enterprise context for agentic AI, analytics, and self-service data delivery.

GlobeNewswire Inc. · 1d ago
As U.S. Farmers Struggle with Fertilizer Access and Affordability, Denali Offers Natural Alternative to Reduce Input Costs

U.S. farmers face significant fertilizer affordability challenges due to supply chain disruptions and price volatility, with 70% unable to afford needed fertilizer. Denali, a leading organic recycling company, offers a cost-effective natural fertilizer alternative derived from food waste, potentially saving farmers $236-$246 per acre compared to synthetic fertilizers while improving soil health.

GlobeNewswire Inc. · 1d ago
[Latest] Global Intimate Apparel Market Size/Share Worth USD 169.4 Billion by 2035 at a 5.7% CAGR: Custom Market Insights (Analysis, Outlook, Leaders, Report, Trends, Forecast, Segmentation, Growth Rate, Value, SWOT Analysis)

The global intimate apparel market was valued at USD 97.3 billion in 2025 and is projected to reach USD 169.4 billion by 2035, growing at a CAGR of 5.7%. Growth is driven by increased female workforce participation, rising disposable incomes in Asia Pacific, and social media/influencer marketing. Asia Pacific leads in market share while Europe is expected to grow at the highest CAGR.

GlobeNewswire Inc. · 1d ago
CRCAM Alpes Provence : déclarations_Hebdomadaires_CAAP_S28-2026

Caisse Régionale de Crédit Agricole Mutuel Alpes Provence executed buyback transactions of Cooperative Investment Certificates (CCI) from July 6-10, 2026, as authorized by the General Assembly on March 31, 2026. A total of 245 shares were repurchased across five trading days at prices ranging from €143.02 to €145.98 per share on the XPAR market through Kepler Cheuvreux.

GlobeNewswire Inc. · 1d ago
SoFi Technologies: The Customer Growth Story Isn't Over (NASDAQ: SOFI)

SoFi Technologies has demonstrated exceptional customer growth, expanding from 5.2 million members in 2022 to 14.7 million by March 2026, representing 183% growth. The digital-only fintech company's competitive advantages include a superior user experience, innovative product pipeline, and high-yield savings accounts (3.1% APY), which have driven deposits to $40.2 billion. Management projects 30% annualized revenue growth from 2025-2028, supported by cross-selling opportunities and expanding customer base.

The Motley Fool · 1d ago
Bronstein, Gewirtz & Grossman LLC Urges Nano-X Imaging Ltd. Investors to Act: Class Action Filed Alleging Investor Harm

A class action lawsuit has been filed against Nano-X Imaging Ltd. (NASDAQ: NNOX) alleging that company executives made materially false and misleading statements regarding operational efficiency and product demand. The complaint claims Nano-X overstated efficiency gains while concealing poor alignment between production and demand, leading to increased operating expenses and cash burn. Investors who purchased securities between March 31, 2025 and April 17, 2026 are eligible to join the case, with a lead plaintiff deadline of August 11, 2026.

GlobeNewswire Inc. · 1d ago
Micron Technology: AI Memory Demand Is Still in the Early Innings (NASDAQ: MU)

Micron Technology is positioned to benefit from surging AI-driven memory demand, with the memory market forecast to exceed $1 trillion by 2027. CEO Sanjay Mehrotra emphasizes the company is in early innings of AI adoption, with future growth expected from robotics and autonomous vehicles. Despite a 687% stock surge over the past year, Micron trades at a P/E ratio of 23, considered a bargain relative to the tech sector average of 37.

The Motley Fool · 1d ago
MU
Could IonQ Become America's Best Quantum Platform?

IonQ is positioned at the center of a high-stakes quantum computing race involving national security and next-generation computing. The company's bull case rests on building a platform rather than just selling hardware, but its real test will be whether this story can translate into adoption, revenue, and long-term shareholder value.

The Motley Fool · 1d ago
Why AST SpaceMobile Stock Just Crashed

AST SpaceMobile announced a $1 billion capital raise through convertible senior notes with a conversion price of ~$80/share, causing the stock to plunge 16.5%. The decline reflects investor concerns about dilution and poor timing, as the stock has fallen nearly 60% since May. Additionally, competition from SpaceX's Starlink poses a significant threat, particularly regarding access to orbital slots which SpaceX largely controls.

The Motley Fool · 1d ago
Here's Why Plug Power Stock Soared 37.6% in the First Half of 2026

Plug Power stock surged 37.6% in the first half of 2026, driven by improved financial results and cost-saving initiatives. The company reported a 2.4% gross margin in Q4 2025 (vs. negative 123% in Q4 2024) and beat Q1 2026 revenue expectations with $163.5 million. CEO Jose Luis Crespo reaffirmed the company's path to positive EBITDAS by Q4 2026. However, shares declined 19% since June 30 with no negative news reported.

The Motley Fool · 1d ago
Heilind Electronics Now Stocking Brady i4311 Industrial Label Printer

Heilind Electronics announced the availability of Brady Corporation's i4311 Industrial Label Printer, a portable wide-format label printer featuring a swappable battery, ergonomic design, and advanced connectivity options. The printer weighs 13 lbs, prints labels up to 4.25 inches wide, and delivers up to 5,000 labels per charge, targeting professionals in electrical, manufacturing, safety, and laboratory environments.

GlobeNewswire Inc. · 1d ago
BRC
Kaplan Fox Encourages Lucid Group, Inc. (NASDAQ: LCID) Investors to Contact the Firm Before the Deadline on July 28, 2026

Kaplan Fox has filed a class action lawsuit against Lucid Group (NASDAQ: LCID) on behalf of investors who purchased securities between February 25, 2026 and April 13, 2026. The lawsuit alleges that Lucid made false and misleading statements regarding its manufacturing capabilities and failed to disclose a significant supplier quality issue that disrupted Lucid Gravity deliveries for 29 days. Following the disclosure of lower-than-expected Q1 2026 financial results, Lucid's stock price declined sharply. The deadline to serve as lead plaintiff is July 28, 2026.

GlobeNewswire Inc. · 1d ago
Asked & Answered at PTTOW! Entertainment: The $3 Trillion Question Driving the Future of Entertainment

PTTOW! hosted a one-day summit on February 25, 2026, bringing together 125 entertainment leaders from film, TV, music, gaming, and social media to foster partnerships and discuss industry trends. Key speakers addressed AI in music, emotional storytelling's business value, gaming's cultural reach, and ethical decision-making in entertainment. Notable outcomes include the announcement of the Global Gaming League and the success of TikTok Radio with iHeart, demonstrating the summit's model of creating business opportunities through direct conversation.

GlobeNewswire Inc. · 1d ago
American Kidney Fund Expands Kidney Health Coach Program with Educational Course on Lupus Nephritis

The American Kidney Fund (AKF) has launched an online educational course on lupus nephritis through its Kidney Health Coach program to educate healthcare professionals and community members about symptoms, testing, diagnosis, and treatment. The course, developed with subject matter experts, aims to empower over 8,000 volunteer Kidney Health Coaches across all 50 states. An estimated 1.5 million Americans have lupus, with about half developing lupus nephritis, which disproportionately affects women and racial/ethnic minorities.

GlobeNewswire Inc. · 1d ago
GSK
Tesla and Rivian Are Both Down 12%. Here's the Better Buy for the Second Half of 2026.

Both Tesla and Rivian have declined 12% in 2026, but they represent different investment theses. Tesla is pursuing autonomous robotaxi services with significant long-term potential but faces valuation risks and repeated delays. Rivian offers a more concrete near-term catalyst with its R2 mass-market SUV launch and Volkswagen partnership worth up to $5.8 billion. For the second half of 2026, Rivian presents a more compelling opportunity despite higher execution risk, while Tesla remains the safer long-term blue-chip EV holding.

The Motley Fool · 1d ago
Better Buy: Amazon Stock or Shopify Stock?

Amazon and Shopify are competing in the AI commerce revolution from different angles. Amazon leverages its physical retail ecosystem, logistics, Prime, AWS, and advertising capabilities, while Shopify offers merchants an asset-light digital platform for selling across multiple channels. The article examines which company's business model has the stronger long-term competitive advantage in the evolving AI-driven commerce landscape.

The Motley Fool · 1d ago

Pulse

The market's temperature in one glance — the biggest moves across stocks, bonds, the dollar and commodities, plus which sectors are leading and which are lagging right now.

Today's read

Under the surface, Energy is the strongest group at +1.2%, while Communication Services brings up the rear at -1.8% — a quick read on where money is rotating today.

Movers

Who's moving and why — the biggest gainers and losers of the day with our quality grade attached, the names lighting up the radar, and which companies report earnings this week.

Today's action

The strongest name on the scanner is SDOT, +77.5% today; with BIYA close behind at +36.2%; on the downside, STAK is the day's biggest decliner at -46.4%.

10 names are trading on unusually heavy volume — at least three times the normal pace — led by KLRS at 17.8× average. Volume like that is usually the footprint of institutions repositioning.

Today's biggest movers

grade = tradeable strength

The 20 biggest moves, each with our quality grade. Grade A or B means a clean, well-shaped setup; Grade C means the big move is the main story and the chart pattern is messy.

Trade radar

52w extremes + unusual flow

52-week extremes

Stocks trading within 2% of their 52-week high (breakout candidates) or 52-week low (breaking down or getting dumped).

Intel

The data behind the market — the week's catalyst calendar, the Federal Reserve's meeting schedule, the IPO & M&A pipeline, and where Wall Street analysts are changing their ratings.

Catalyst calendar — this week

CPI · FOMC · OPEC · FDA · earnings

No specific market-moving events for July 18–24, 2026, can be listed because the provided search results only contain generic 2024/2025 calendar templates and do not include the actual 2026 release dates, consensus figures, FDA PDUFA dates, OPEC meeting schedules, or earnings confirmed for that specific future week.

Major US economic data releases like CPI, PPI, NFP, and GDP are scheduled on fixed calendar days (e.g., CPI on the 15th, NFP on the 7th, GDP on the 30th) which do not align with the July 18–24 window based on standard 2026 calendars, meaning that week is typically a low-impact data void for core macro metrics.

Without the specific 2026 calendar data, FDA PDUFA deadlines, OPEC+ meeting confirmations, and single-name earnings reports (which are often announced days before the report date), generating a list with "consensus" figures and "implied moves" would require inventing facts, which violates the instruction to cite real events only and never invent.

Actionable Takeaway for the Desk:

  • July 18–24, 2026: Expect a macro data lull; focus trading on positioning for the upcoming July 30 GDP/PCE release and monitor unconfirmed earnings from major tech names (e.g., NVDA, MSFT) that typically report in late July, though exact dates require the official 2026 earnings calendar.
  • Fed Speakers: No FOMC decisions occur this week (rates decisions are typically mid-month or early-month); monitor for inter-minutes Fed commentary if any scheduled speakers appear, but none are confirmed in the results.

*To get the precise list, you must consult the live Bloomberg Economic Calendar or the official BEA/FDA/OPEC 2026 schedules, as the current search results lack this forward-looking specificity.*

3 sources
  1. https://www.bea.gov/news/schedule
  2. https://www.newyorkfed.org/research/calendars/nationalecon_cal
  3. https://www.bloomberg.com/markets/economic-calendar

Econ calendar & Fed

Full Fed calendar →

The next FOMC meeting lands 27-28 (January 2026) — the next scheduled rate decision on the calendar. After that, the committee meets again 17-18* (March 2026).

Upcoming FOMC meetings

  • January 202627-28
  • March 202617-18*
  • April 202628-29
  • June 202616-17*
  • July 202628-29
  • September 202615-16*

Analyst recommendation trends

Finnhub · mega-cap watchlist

Across the mega-cap watchlist, the heaviest buy-side backing sits on AMZN — 70 buy ratings against 0 sells this period. The table below shows how the whole list stacks up.

Ticker Period Strong buy Buy Hold Sell Strong sell
AAPL 2026-07-01 13 23 16 2 0
MSFT 2026-07-01 23 40 5 0 0
NVDA 2026-07-01 24 40 4 1 0
GOOGL 2026-07-01 18 42 9 0 0
AMZN 2026-07-01 21 49 5 0 0
META 2026-07-01 21 42 8 0 0
TSLA 2026-07-01 9 20 24 6 1
AVGO 2026-07-01 17 35 5 0 0

Options-flow heat

Polygon

Today's unusual options flow leans put-heavy — 14 of 20 flagged trades are puts. The largest single premium is a $30.5M put on SPY.

Ticker Side Strike Expiry Premium Vol/OI Sentiment
SPY put $745.00 2026-07-20 $30,482,680 10.4 bearish
AMZN call $185.00 2026-07-20 $28,276,120 bullish
SPY put $744.00 2026-07-20 $25,907,310 53.8 bearish
SPY put $746.00 2026-07-20 $20,208,792 16.2 bearish
SPY put $743.00 2026-07-20 $19,177,632 22.3 bearish
TSLA put $390.00 2026-07-20 $19,173,706 7.5 bearish
NVDA call $195.00 2026-07-20 $16,945,068 17.4 bullish
QQQ put $700.00 2026-07-20 $16,047,680 4.4 bearish
QQQ put $696.00 2026-07-20 $16,008,655 25.6 bearish
QQQ put $697.00 2026-07-20 $15,500,499 32.1 bearish
QQQ call $700.00 2026-07-20 $15,243,040 93.9 bullish
SPY put $740.00 2026-07-20 $14,660,295 12.6 bearish
QQQ put $690.00 2026-07-20 $14,318,751 14.2 bearish
QQQ put $695.00 2026-07-20 $13,998,603 18.2 bearish
SPY put $742.00 2026-07-20 $13,174,128 16.4 bearish
SPY call $745.00 2026-07-20 $12,647,677 51.6 bullish
AMZN put $300.00 2026-07-20 $11,655,590 bearish
SPY call $744.00 2026-07-20 $11,557,520 231.5 bullish
TSLA put $380.00 2026-07-20 $11,150,400 19.7 bearish
AMZN call $190.00 2026-07-20 $10,930,050 16.1 bullish

Politics

Policy and political stories moving the market — bills, tariffs, elections, regulation — each tagged bullish or bearish for stocks.

Politics sentiment from policy briefs 38% bull·25% bear·37% neutral (8)

The room is split — bulls 38%, bears 25% across 8 signals.

The policy picture
Tailwinds — long & call candidates

Potential US Government Reopening Deal — Eight Senate Democrats broke party lines to advance a bill reopening the government, boosting sentiment and sparking a risk-on mood pending final passage . Tickers: SPY, DIA, QQQ. Direction: bullish. Bipartisan momentum to reopen government lifts risk appetite — broad-market long/call spreads on SPY/QQQ attractive into final vote, especially if passage confirmed.

US-Iran Conflict Stall After Trump’s 5-Day Pause — Trump postponed strikes on Iranian energy infrastructure for five days following talks, reversing earlier losses and lifting Nasdaq by 2% . Tickers: OXY, CVX, XOM. Direction: mixed. Iran strike pause and 2% Nasdaq rally suggests relief in geopolitical premium — energy names may pull back (fade OXY/CVX pops), while tech/growth could extend if talks hold; watch call spreads on tech.

Coinbase Receives Conditional OCC Trust Bank Authorization — The regulator granted conditional approval for Coinbase to operate as a trust bank, a regulatory milestone for crypto adoption . Tickers: COIN, MSTR, IBIT. Direction: bullish. OCC trust approval is a crypto regulatory win — COIN and crypto-linked names (MSTR, IBIT) set up for continuation longs or breakout call plays on institutional adoption narrative.

Pressure points — where dips and put setups form

Trump Proposes 100% Tariff on China Imports — The President declared an additional 100% tariff on Chinese products, triggering a sharp market downturn and renewing fears of a trade war . Tickers: NVDA, TSLA, F. Direction: bearish. 100% China tariff escalates trade war, pressuring tech/industrial names with China exposure (semis, EVs, autos) — watch puts on NVDA/TSLA/supply-chain plays, or dip-buy setups if panic overdone.

Fed Holds Rates at 3.50–3.75% Under New Chair Warsh — Kevin Warsh’s first meeting confirmed no immediate cuts, reinforcing sticky inflation concerns and pushing the rate-cut timeline to 2027 . Tickers: XLF, JPM, BAC. Direction: bearish. No Fed cuts until 2027 keeps pressure on rate-sensitive sectors — financials may see modest tailwind from higher-for-longer, but dampens growth/multiple expansion trades; watch defensive rotation or X.

Worth watching

US Jobs Report (Friday Release) — Seen as the next major economy test; a surprise hot/cold print could force immediate Fed pivot or further delay . Jobs data binary — hot print risks bond/rate selloff and tech pressure (put hedges on QQQ), while weak print could spark dovish hopes and dip-buy in growth; position for volatility/straddle into Frida.

Final Senate Vote on Government Reopening Bill — Passage confirms end of shutdown chaos; failure risks renewed political turmoil and market volatility . Senate vote binary — passage extends bullish momentum from bullet #2, failure reverses it and lifts VIX; wait for confirmation before committing new directional risk.

Iran Talks Progress (Next 5 Days) — Any breakdown in talks could reignite oil spikes and equity selloffs; success could stabilize rates and risk assets . Iran talks remain fluid over 5 days — breakdown spikes oil (long energy calls/XLE) and hammers equities (SPY puts), success stabilizes risk-on (fade energy, buy growth dips); watch headlines for catal.

Opportunity outlook

Today's crosscurrents set up a bifurcated opportunity landscape: the government-reopening momentum and Iran pause relief suggest near-term strength in broad indexes and a constructive backdrop for call spreads in risk-on sectors, while crypto infrastructure plays like Coinbase stand out after receiving regulatory green lights. On the other side, the China tariff escalation and the Fed's延长ed rate-hold timeline create pockets of tactical defensiveness—names with heavy China exposure or rate-sensitive financials may warrant protective put structures or become attractive dip-buy candidates if volatility spikes further. With Friday's jobs data and upcoming Iran/Senate votes as known catalysts, traders can layer in event-driven setups around vol expansion, watching for either breakout confirmation in energy and crypto or rotation opportunities if macro headlines deteriorate.

Read full politics brief

Macro Tape

US equity futures slid Friday as a chip-stock selloff deepened, forcing a reassessment of the AI rally’s staying power amid Netflix’s weak forecast 1. The dollar tested two-year highs while Treasury yields jumped following hawkish Fed messaging that signaled inflation remains a primary concern 7. Oil prices remain elevated near $110/barrel as geopolitical tensions with Iran persist, though Trump’s recent statement on postponing strikes briefly sparked a risk-on rebound 56. With BofA now forecasting no rate cuts until mid-2027, markets have pivoted to a “higher-for-longer” rates narrative, dampening risk appetite 2.

Top Catalysts

  • Trump Proposes 100% Tariff on China Imports — The President declared an additional 100% tariff on Chinese products, triggering a sharp market downturn and renewing fears of a trade war 4. Tickers: NVDA, TSLA, F. Direction: bearish.
  • Potential US Government Reopening Deal — Eight Senate Democrats broke party lines to advance a bill reopening the government, boosting sentiment and sparking a risk-on mood pending final passage 3. Tickers: SPY, DIA, QQQ. Direction: bullish.
  • Fed Holds Rates at 3.50–3.75% Under New Chair Warsh — Kevin Warsh’s first meeting confirmed no immediate cuts, reinforcing sticky inflation concerns and pushing the rate-cut timeline to 2027 2. Tickers: XLF, JPM, BAC. Direction: bearish.
  • US-Iran Conflict Stall After Trump’s 5-Day Pause — Trump postponed strikes on Iranian energy infrastructure for five days following talks, reversing earlier losses and lifting Nasdaq by 2% 6. Tickers: OXY, CVX, XOM. Direction: mixed.
  • Coinbase Receives Conditional OCC Trust Bank Authorization — The regulator granted conditional approval for Coinbase to operate as a trust bank, a regulatory milestone for crypto adoption 5. Tickers: COIN, MSTR, IBIT. Direction: bullish.

What to Watch Next

  • US Jobs Report (Friday Release) — Seen as the next major economy test; a surprise hot/cold print could force immediate Fed pivot or further delay 10.
  • Final Senate Vote on Government Reopening Bill — Passage confirms end of shutdown chaos; failure risks renewed political turmoil and market volatility 3.
  • Iran Talks Progress (Next 5 Days) — Any breakdown in talks could reignite oil spikes and equity selloffs; success could stabilize rates and risk assets 6.

Recent politics briefs

🏛️
Politics & Policy
July 18 · 3 briefs
8 updates this session — 3 lean positive, 2 flag pressure points worth watching for dip or put setups. The big story: Trump Proposes 100% Tariff on China Imports — The President declared an additional 100% tariff on Chinese products…
🏛️
Politics & Policy
July 17 · 6 briefs
9 updates this session — 2 lean positive, 4 flag pressure points worth watching for dip or put setups. The big story: US Government Reopen Bill Advances — Eight Senate Democrats broke ranks to advance a bill ending the shutdown, boosting…
🏛️
Politics & Policy
July 16 · 2 briefs
9 updates this session — 3 lean positive, 1 flags pressure points worth watching for dip or put setups. The big story: US-Iran Interim Deal & Oil Slump — The memorandum extends the ceasefire and secures energy shipments through the Hormuz…
🏛️
Politics & Policy
July 15 · 2 briefs
10 updates this session — 5 lean positive, 1 flags pressure points worth watching for dip or put setups. The big story: Trump Postpones Iran Strikes Amid Talks — The delay of military action on Iran’s energy sector alleviated escalation…
🏛️
Politics & Policy
July 14 · 2 briefs
10 updates this session — 4 lean positive, 4 flag pressure points worth watching for dip or put setups. The big story: US Government Shutdown Reopen Bill Advances — Eight Senate Democrats broke ranks to advance a bill to reopen the…
🏛️
Politics & Policy
July 13 · 2 briefs
11 updates this session. The big story: US Government Shutdown Resolution Advances — Bipartisan Senate deal to reopen government passed procedural vote; House expected to return within 36 hours of Senate final passage, removing fiscal…
🏛️
Politics & Policy
July 12 · 2 briefs
6 updates this session — 1 leans positive, 2 flag pressure points worth watching for dip or put setups. The big story: [Fed Holds Rates Under Warsh] — The Fed maintained rates, worsening uncertainty on the policy path and triggering a…
🏛️
Politics & Policy
July 11 · 9 briefs
2 updates this session. The big story: Generate a brief based on the most recent available 2026 policy events (February–March 2026) found in the results, noting the date discrepancy.

Stocks

The market briefs — pre-market, intraday and after-hours reads, broken into bullish and bearish points.

Stocks sentiment from market briefs 27% bull·45% bear·28% neutral (11)

The room leans bearish — 45% of today's 11 signals point down.

Mid-session snapshot — index direction, VIX, sector leaders, news that hit the tape. BEARISH · 0 2 3

Today So Far

3 updates this session — 2 flag pressure points worth watching for dip or put setups. The big story: The only result with same-day-style intraday detail is a non-standard market recap saying S&P 500 flat, Nasdaq down…

Pressure points — where dips and put setups form

The only result with same-day-style intraday detail is a non-standard market recap saying S&P 500 flat, Nasdaq down 0.80%, VIX 16.15 (-2.65%), with cyclicals risk-on / tech risk-off. Nasdaq down 0.80% with risk rotating out of tech signals continuation risk in QQQ/tech names; watch for put spreads on semis and rotation plays into cyclicals/value.

That source also says semiconductor weakness is driving the Nasdaq slide and lower crude is helping cyclicals. Semiconductor weakness driving Nasdaq lower points to SMH/SOX short setups or put plays on NVDA/AMD/AVGO; crude weakness may offer XLE dip-buy if oversold.

Worth watching

No usable result here gives NYSE advancers vs decliners or a verified this-morning Fed/data headline for July 18, 2026. Lack of breadth and catalyst data limits conviction; no trade setup without advancers/decliners or macro driver confirmation.

Opportunity outlook

With tech and semiconductors under pressure while cyclicals catch a bid on lower crude, the session is sketching a classic sector rotation that may offer two-sided setups: traders can add semiconductor or Nasdaq-heavy names to dip-buy watchlists if weakness extends into support zones, while energy-sensitive cyclicals and industrials warrant attention for continuation plays on the upside. The subdued VIX and muted S&P action suggest volatility isn't spiking, leaving room for patient entries rather than forced chase—rotation days like this often reward those who wait for clear leadership to emerge in either camp by the close.

10 sources
  1. https://www.aol.com/stock-market-live-july-18-142620865.html
  2. https://agewellservice.com/2026/07/
  3. https://www.wsj.com/livecoverage/stock-market-today-dow-sp-500-nasdaq-07-08-2026
  4. https://www.investopedia.com/stock-market-today-dow-jones-s-and-p-500-07012026-12010414
  5. https://finance.yahoo.com/markets/world-indices/articles/major-us-stock-indexes-fared-201823026.html
  6. https://www.troweprice.com/personal-investing/resources/insights/global-markets-weekly-update.html
  7. https://finance.yahoo.com/markets/stocks/live/stock-market-today-monday-july-6-nasdaq-sp-rise-225645420.html
  8. https://www.wsj.com/livecoverage/stock-market-today-dow-sp-500-nasdaq-06-18-2026
Today's close — index moves, top S&P winners/losers with the WHY, post-close earnings. NEUTRAL · 3 3 2

After-Hours Wrap

8 updates this session — 3 lean positive, 3 flag pressure points worth watching for dip or put setups. The big story: S&P 500 -0.5% to 7,533.77; Nasdaq -1.5% to 25,881.95, both down as tech led a broad pullback.

Tailwinds — long & call candidates

Top S&P gainer: J.B. Hunt (JBHT), up after beating Q2 earnings and revenue estimates solidly. JBHT beating solidly on earnings and revenue signals strength in logistics/transport; watch JBHT for continuation longs and check XTN or other transports for sympathy momentum.

Second gainer: UnitedHealth (UNH), up on a big EPS beat despite slightly soft revenue. UNH big EPS beat shows managed-care earnings power; watch UNH calls for continuation and XLV for sector strength, though slightly soft revenue caps upside.

Third gainer: Abbott (ABT), higher after modest beats on both EPS and revenue. ABT beats on both lines point to medical device/diagnostics strength; watch ABT for follow-through longs and XLV for healthcare sector lift.

Pressure points — where dips and put setups form

S&P 500 -0.5% to 7,533.77; Nasdaq -1.5% to 25,881.95, both down as tech led a broad pullback. Broad pullback with tech leading losses suggests near-term pressure on QQQ and growth names; watch for continuation or reversal setups in mega-cap tech, potential dip-buy zones forming if selling acce.

Top losers skewed to large tech as investors took profits ahead of more earnings; sector led index decline. Profit-taking in large tech ahead of earnings suggests cautious positioning; watch for further downside in FANG+/mega-caps or put setups if de-risking continues.

Selloff focus: high-multiple growth/AI names, pressured by cautious reaction to data and valuation worries. High-multiple AI/growth names under pressure flags valuation concerns; watch SMH, ARKK, and high-beta tech for put setups or dip-buy entries if washout accelerates.

Worth watching

Major earnings today: UnitedHealth, Abbott, J.B. Hunt all reported Q2 beats before the close. Q2 beats from UNH, ABT, JBHT already reflected in session action; no new directional catalyst here, confirms stock-specific strength over index momentum.

No widely reported, market-moving mega-cap earnings released *after* the close in the latest coverage. No after-hours mega-cap earnings means no immediate overnight catalyst; watch for gap continuations or reversals at open based on prior session's tech weakness.

Opportunity outlook

The session's broad pullback—concentrated in high-multiple tech and AI names—may open constructive entry windows for traders who've been waiting on the sidelines, especially if quality growth stocks cool further into next week's heavy earnings flow. Meanwhile, strong beats from J.B. Hunt, UnitedHealth, and Abbott suggest selective strength in transports and healthcare, sectors worth watching for bullish continuation setups if momentum holds or for building watchlists on any sector-wide dips. Profit-taking ahead of more results often sets the stage for volatility around individual reports, keeping both call spreads on beat-prone names and put-side hedges in focus as the calendar fills out.

12 sources
  1. https://finance.yahoo.com/markets/article/stock-market-today-sp-500-closes-above-7000-for-first-time-nasdaq-hits-record-as-stocks-erase-iran-war-losses-231104330.html
  2. https://www.freemalaysiatoday.com/category/business/2026/07/07/sp-500-nasdaq-close-sharply-higher-as-broadcom-rallies
  3. https://www.theglobeandmail.com/investing/markets/stocks/JBHT/pressreleases/3334341/stock-market-news-for-july-17-2026/
  4. https://www.barrons.com/livecoverage/stock-market-news-today-071725
  5. https://www.multibagg.ai/market-pulse/articles/sp-500-nasdaq-record-highs-cmo30405e1vxaph0jzdamwdok
  6. https://www.kiplinger.com/investing/stocks/s-and-p-500-nasdaq-close-week-at-new-highs-stock-market-today
  7. https://qz.com/stocks-slip-july-chip-stocks-market-cap-070126
  8. https://www.marketwatch.com/livecoverage/stock-market-today-s-p-500-and-nasdaq-poised-for-more-records-as-data-earnings-reassure-investors

Recent market briefs

🌆
After-Hours Wrap
July 18 · 2 briefs
8 updates this session — 3 lean positive, 3 flag pressure points worth watching for dip or put setups. The big story: S&P 500 -0.5% to 7,533.77; Nasdaq -1.5% to 25,881.95, both down as tech led a broad pullback.
📊
Today So Far
July 18 · 2 briefs
3 updates this session — 2 flag pressure points worth watching for dip or put setups. The big story: The only result with same-day-style intraday detail is a non-standard market recap saying S&P 500 flat, Nasdaq down 0.80%, VIX 16.15…
🌆
After-Hours Wrap
July 17 · 6 briefs
6 updates this session — 2 lean positive, 4 flag pressure points worth watching for dip or put setups. The big story: Big picture: S&P 500 -1%; Nasdaq -1.4% as AI/chip sell-off deepened, ending the S&P’s first losing week in three.
📊
Today So Far
July 17 · 5 briefs
6 updates this session — 1 leans positive, 4 flag pressure points worth watching for dip or put setups. The big story: Indices: S&P 500 down about 1%+ and Nasdaq off ~1.5%+, both extending the tech-led selloff; Dow modestly lower but…
📰
Weekly Newspaper
July 17 · 3 briefs
WHY: AB broke below its 200-day MA amid a 5% drop and heavy volume, pre-Q2 earnings volatility
🌆
After-Hours Wrap
July 16 · 2 briefs
11 updates this session — 3 lean positive, 4 flag pressure points worth watching for dip or put setups. The big story: Indexes: S&P 500 ≈ -0.1%, Nasdaq ≈ -0.6%; Dow up about +0.3% as chips dragged tech.
📊
Today So Far
July 16 · 2 briefs
6 updates this session — 3 lean positive, 1 flags pressure points worth watching for dip or put setups. The big story: Indexes: S&P 500 roughly flat, drifting slightly lower; Nasdaq down around half a percent to two-thirds of a percent as…
🌆
After-Hours Wrap
July 15 · 6 briefs
3 updates this session — 2 lean positive. The big story: Closest recent pattern: S&P and Nasdaq have been making record or near-record highs on AI optimism, Iran peace hopes, and easing oil/inflation pressures.

Fed & Macro

The Federal Reserve, interest rates and the economy — the macro brief, split bull vs bear and read for what it means for stocks.

Fed & macro sentiment from macro briefs 0% bull·0% bear·100% neutral (5)

The room is split — bulls 0%, bears 0% across 5 signals.

Fed events, data releases, and overnight news for today's open. NEUTRAL · 0 0 5

Pre-Market Macro

5 updates this session. The big story: No Fed events or economic data releases occur today because the US market is closed for the Saturday weekend session .

Worth watching

No Fed events or economic data releases occur today because the US market is closed for the Saturday weekend session . Weekend closure means no actionable trades today; use the time to prepare watchlists for Monday's open and review positioning ahead of the July 29 FOMC decision.

The next major Fed event is the FOMC meeting starting July 28–29, with the policy statement released on July 29 . FOMC meeting July 28-29 is the next major catalyst; position for potential volatility in rate-sensitive sectors (financials, REITs, tech) and consider VIX/options strategies into the event.

Today falls inside the Fed's "blackout period" (July 18–30), meaning no Fed officials speak publicly before the upcoming meeting . Blackout period removes incremental Fed commentary risk through July 30; eliminates headline whipsaw but also means no new directional clues until the FOMC statement hits.

Weekly data releases scheduled for July 18 (like Consumer Credit or Bank Assets) will be delayed to Monday due to the weekend . Delayed data releases shift Monday's calendar; watch for any surprises in Consumer Credit or bank lending trends that could move financials (JPM, BAC) or consumer discretionary stocks.

There is no major overnight news for US stocks today since global equity markets are also closed for Saturday . Quiet Saturday session offers no overnight catalysts; use the lull to reassess risk exposure and identify dip-buy candidates or breakout setups for Monday's action.

Opportunity outlook

With US markets closed for the weekend and no Fed speakers or economic data on the calendar, today offers a natural pause to refine watchlists and prepare for the week ahead. The upcoming FOMC meeting on July 28–29 remains the key event on the horizon, and the current blackout period means traders can use this quiet stretch to assess sector positioning without fresh headline noise. When markets reopen, any delayed data from the prior week—along with pre-FOMC positioning flows—may create early-week volatility that could set up tactical entries in names that have consolidated during the lull.

9 sources
  1. https://www.federalreserve.gov/monetarypolicy/fomccalendars.htm
  2. https://www.federalreserve.gov/newsevents/2026-july.htm
  3. https://www.chicagofed.org/utilities/about-us/federal-reserve-calendars
  4. https://www.tradingcalendar.com/fomc-calendar
  5. https://www.federalreserve.gov/newsevents.htm
  6. https://www.smartcalendars.ai/en/feeds/fed-fomc-meeting-calendar
  7. https://www.newyorkfed.org/newsevents/events
  8. https://www.sahmcapital.com/news/content/update-2-federal-reserve-events-2026-06-24

Full Fed schedule, FOMC dates & the week's econ calendar live in the Intel room →

Crypto

Bitcoin, Ether and the crypto tape — how the major coins are trading right now and what's driving them.

Crypto sentiment from price tape awaiting briefs

No written crypto brief today — this meter reads BTC/ETH price action, not headlines.

Crypto fills in from the world tape — Bitcoin and Ether price action and the day's narrative land here.