After Sizzling Rebound, Investors Weigh Whether Stocks Have More Bounce
Wall Street stormed back this week after absorbing a long-awaited rate hike from the Federal Reserve, leaving investors to determine whether stocks are set for a sustained rebound or more turbulence.
History Shows Stocks Can Weather Rate Hike Cycle
Fears over the Federal Reserve's hawkish shift have combined with geopolitical uncertainty to push the S&P 500 into a correction this year, yet historical data suggests tighter monetary policy has often been accompanied by solid gains in stocks.
Amazon Latest Megacap To Join Stock Split Squad
Stock splits are becoming fashionable for megacap U.S. companies.
Rate-hike Fears Abate But Ukraine Muddies Stock Market Outlook
Geopolitical worries are clouding the outlook for U.S.
Surging Oil Prices Add Another Worry For Frazzled Investors
A U.S. stock market, already on edge from a hawkish Federal Reserve and a conflict between Russia and Ukraine, now has another worry: higher oil prices.
As Markets Churn Over Russia-Ukraine Conflict, History Shows Fleeting Impact
Worries over a potential Russian invasion into Ukraine could fuel stock weakness over the short-term, but most U.S.
Wall Street Drops On Trade Worries, S&P 500 Nears Correction
U.S. stocks fell in a volatile session on Monday, with the benchmark S&P 500 index ending close to confirming its second correction of 2018, hurt by fresh worries about U.S.-China trade policy tensions and a sharp drop in the big technology and internet shares.
High US Stock Valuations Hinge On Inflation, Interest Rates
Yields on U.S. government securities and consumer prices overall have been moving higher, although they remain relatively moderate.
Economy, Dollar, Trade Key To US Stocks' Global Edge
The ability of the U.S. stock market to keep an edge this year over equities elsewhere in the world hinges on the United States maintaining its economic and earnings growth advantage, the strength of the dollar and how global trade tensions resolve, investors said.