Financial News & Analysis
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Nvidia Kicks Off Its First Corporate Bond Offering in Five Years
Nvidia issues its first corporate bonds in five years to fund AI growth, signaling strong demand for AI debt.
The consequences of a diminishing global energy shock
Ceasefire in Iran war reduces energy shock, allowing central banks to treat it as temporary, boosting economic outlook.
Global imbalances need not lead to trade wars
Global imbalances need not lead to trade wars if countries adjust, reducing trade friction risk.
Monetary Policy Radar preview: BoJ’s June meeting
BoJ June meeting preview: potential policy shift or hawkish signals could impact global rates and yen.
Treasury yields slide as Iran deal drives rethink on Fed interest rate hikes
Treasury yields fall on Iran deal hopes, easing rate hike fears.
Oil shock 'far from over' as analysts warn of new Middle East risk premium
Analysts warn oil volatility persists despite US-Iran peace, adding Middle East risk premium.
UBS’s Baweja Says AI Stumble Key to Longer European Stock Rally
UBS strategist says European rally needs AI capex broadening; stumble in AI could be key.
US and Iran Agree to Halt War, SpaceX Jumps | The Pulse 6/15/2026
US and Iran agree to halt war, reducing geopolitical risk and boosting risk appetite.
Fed Decision Likely to Have No Dissenters, JPM’s Berro Says
JPMorgan expects no dissenters at upcoming Fed decision, signaling policy continuity.
Losers in ‘creditor-on-creditor violence’ left with crumbs
Moody's finds creditors in adversarial debt exchanges recover only 14 cents on the dollar, highlighting risks in credit markets.
Iran deal leaves Trump fighting a war at home
Iran deal political strife in US raises uncertainty, but net economic impact is ambiguous.
A war without victors
Trump's deal signals failure of military option in Iran, reducing geopolitical risk and oil prices.