Bloomberg Strategist Warns of 2008-Style Market Unwind, Sees Bitcoin Plunging to $10,000
A hawkish Fed nominee and geopolitical tensions trigger a broad market sell-off, with one analyst forecasting an 87% collapse in Bitcoin from current levels.
A hawkish Fed nominee and geopolitical tensions trigger a broad market sell-off, with one analyst forecasting an 87% collapse in Bitcoin from current levels.
While sell-side analysts tout significant upside for Q2 Holdings, Teladoc Health, and Caleres, a closer look reveals potential pitfalls and valuation concerns that warrant caution from discerning investors.
Ripple's Chief Technology Officer, David Schwartz, has expressed skepticism about XRP reaching prices of $50 or $100, triggering a debate within the community as the cryptocurrency's value drops significantly this week.
A syndicate led by JPMorgan and Wells Fargo is preparing a multi-billion dollar high-yield bond and loan issuance to finance the landmark private equity acquisition of Bubble Wrap maker Sealed Air, with bond yields expected to attract investor interest in the 7% range.
Following a strategic partnership with Singapore's GIC, Realty Income (NYSE: O) is poised for a transformative year. Analysts forecast further international growth, portfolio diversification into new property verticals, and a potential rebound in share performance as catalysts align.
Justice Secretary David Lammy's proposal to redirect interest from law firms' client accounts to fund the justice system could jeopardize up to 6,500 jobs, according to industry analysis, raising alarms about the financial stability of the sector.
Ethereum (ETH) has retreated sharply from recent highs, shedding roughly 20% of its value to hover precariously near the $2,200 support level. The broader cryptocurrency market cool-down has triggered over $2 billion in liquidations, putting key technical levels under severe pressure and raising the specter of a deeper slide toward $2,000.
With Bob Iger's final departure looming, the race to lead Disney enters a critical phase. The chosen successor will inherit the monumental task of executing a costly expansion while navigating fierce competition, as Wall Street grows impatient with the prolonged transition.
Morris Chang, the 94-year-old founder of Taiwan Semiconductor Manufacturing Co., made his first public appearance in over a year at a private dinner in Taipei with Nvidia CEO Jensen Huang. The meeting, which ended months of speculation about Chang's health and public role, also served as a platform to reaffirm TSMC's central position in the global chip supply chain.
Despite underperforming the broader market since August 2025, insurance marketplace platform MediaAlpha (MAX) exhibits robust fundamentals—including sustained sales growth, expanding cash flow margins, and rising returns on capital—that could signal significant upside potential for patient investors.
While recent performance has moderated, Mercantile Bank Corporation (NASDAQ:MBWM) has rewarded long-term investors with a total shareholder return more than double the broader market's gains over the past half-decade, driven by consistent earnings growth and dividends.
The frozen food giant announces a steady quarterly payout, with analysts highlighting a sustainable yield but tempered expectations for future dividend hikes.
Amid a cautiously recovering Eurozone, companies with significant insider ownership are drawing investor attention. We spotlight three firms—Appear, Storytel, and LEM Holding—where management's skin in the game aligns with robust earnings forecasts of up to 47%.
The private equity giant announced a dividend increase to $1.49 per share, pushing its yield above the industry average. While future earnings projections are robust, analysts flag concerns over the current payout ratio and the firm's mixed dividend history.
Despite a recent pullback, shareholders in toy and consumer products maker JAKKS Pacific have seen robust long-term gains, with a total shareholder return of 118% over the past five years, fueled by a turnaround to profitability and strategic insider confidence.
A new discounted cash flow analysis suggests shares of Global Industrial Company (NYSE:GIC) are trading significantly below their estimated intrinsic value. While the model points to a potential bargain, experts caution that valuation is more art than science.
Wall Street analysts have significantly raised their revenue and earnings forecasts for Southern Copper Corporation (SCCO), projecting a notable acceleration in growth that outpaces both its historical performance and broader industry peers.
Capital Planning LLC makes a deliberate 2.1% portfolio pivot into the concentrated Akre Focus ETF, signaling a strategic move beyond passive indexing in pursuit of differentiated, quality-driven returns.
President Trump's nomination of Kevin Warsh to lead the Federal Reserve has ignited a debate over his true policy leanings. While his record paints him as a staunch inflation hawk, his recent dovish turn raises questions about whether political convenience or genuine evolution will guide his tenure.
Despite a 44.5% surge in the past six months, driven by solid quarterly results, analysts are sounding a note of caution on Sealed Air (SEE). Concerns over stagnant sales volume, slowing revenue forecasts, and declining returns on capital suggest the packaging giant's momentum may be hard to sustain. We examine the risks and highlight a more compelling investment opportunity in the industrial sector.