Looking at the final three months in isolation, both indices show October as the weakest of the three midterm months and November as the strongest. For the S&P 500, midterm year Octobers have averaged ...
Vistry reports H1 2026 results on 24 September. We preview the expected loss, cash generation targets, the Adam Daniels strategy review and what to watch on the day.
Technical analysis of the Dow Jones Industrial Average and EUR/JPY as they recover from multi-month lows while US natural gas futures are rejected from key resistance.
Kingfisher reports H1 2026/27 results on 22 September. We preview B&Q trading, Screwfix growth, trade and e-commerce progress and the full-year profit outlook.
ASX 200's retreat from the early-August record high of 9296.7 had been reasonably orderly until last week's collapse. The index first lost important support at 9000, then knifed below support from the ...
Technical analysis of the FTSE 100 as it recovers from last week’s low while GBP/USD and the gold price slide towards support.
Oracle reports Q1 FY2027 earnings on 10 September. We preview AI cloud growth, the $638bn RPO backlog, capital expenditure concerns and the $90bn revenue target.
Learn what the latest expectations for the Fed, BoE and BoJ mean for markets ahead of a pivotal week of policy decisions.
Technical analysis of the Nasdaq 100 as it slips while USD/JPY drops to a 7-month low as Brent crude extends its gains.
The S&P 500 is about to test its March-to-September uptrend line at 7,658 with the 24 August low and June peak at 7,638-to-7,621 also offering support. Further down lies the early September low at ...
Global bond selloff pushes 10-year US yield towards 5%: Surging oil prices and rising expectations of a near-term Fed hike fuelled inflation concerns, lifting the benchmark Treasury yield to a ...
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