Israel to Reopen Key Gaza-Egypt Border Crossing After Two-Year Closure
Israeli authorities announce the reopening of the Rafah crossing this Sunday, ending a nearly two-year blockade of Gaza's sole passage to Egypt.
Israeli authorities announce the reopening of the Rafah crossing this Sunday, ending a nearly two-year blockade of Gaza's sole passage to Egypt.
Israel announces the Rafah border crossing will reopen this Sunday for limited travel between Gaza and Egypt, marking a significant shift in access for the enclave's 2 million residents after an eight-month Israeli control of the vital gateway.
German automotive giant Bosch reports a sharp 45% drop in operating profit for 2025, driven by heavy restructuring charges, intense global competition, and delayed returns on future-tech investments.
Chevron Corp. reported a drop in fourth-quarter earnings that nonetheless beat analyst expectations, as the oil giant emphasized operational efficiency to navigate lower crude prices. The company, the sole U.S. producer active in Venezuela, signaled it is assessing further investment opportunities in the country following recent geopolitical shifts.
With major indices treading water after the Fed's steady rates, savvy investors are turning to overlooked small-cap stocks where insider buying signals conviction. We examine three companies where executives are backing their firms with their own capital.
Israel announces the reopening of the Rafah border crossing with Egypt this Sunday, permitting limited two-way movement for Palestinians after nearly 24 months of tight restrictions. The move is seen as a key development in international ceasefire efforts.
With the Federal Reserve holding rates steady and economic signals mixed, investors are looking beyond the S&P 500 for growth. We analyze three under-the-radar companies—Tiptree, Slide Insurance, and Colony Bankcorp—that show strong fundamentals and strategic momentum as we head into 2026.
Despite a 129% share price surge, Cassiar Gold (CVE:GLDC) faces a critical test with a cash runway of just 8 months. We examine the risks and options for the pre-revenue miner as it balances growth ambitions with financial sustainability.
With major indices hovering near record levels and the Federal Reserve on hold, income-focused investors are turning to dividend payers for reliable returns. We analyze three standout stocks offering yields and stability as the market awaits tech earnings season.
EQ Resources (ASX:EQR) has seen its share price skyrocket over 120% in a month, fueled by renewed interest in tungsten and strategic project updates. As the market re-evaluates the critical minerals sector, we examine whether the company's current premium is justified or a sign of overheating sentiment.
Baldwin Insurance Group (BWIN) shares have faced significant pressure, dropping over 13% in a week. With a one-year loss of 45%, investors are questioning if the sell-off presents a buying opportunity or signals deeper issues. Our analysis digs into the valuation debate and key risks.
A dramatic surge in SuperX AI Technology's share price has spotlighted its concentrated ownership structure, with private companies holding a dominant 34% stake and reaping the largest rewards from the recent rally. As the AI-driven healthcare sector heats up, investor attention turns to who holds the reins at this promising but closely held firm.
BEN finalizes a landmark AI licensing framework for Africa and a university wellbeing pilot while bolstering its balance sheet through capital raises and debt conversion, prompting analysts to question if execution is now the priority.
Align Technology is accelerating its expansion in Southeast Asia with new product launches and affordability programs, a strategic pivot as the company navigates competitive pressures and seeks to reignite investor confidence amid a challenging stock performance.
As Medical Properties Trust (MPW) prepares to report earnings, a spike in short-dated call options and a move to new Birmingham headquarters have investors weighing the REIT's path to profitability against persistent financial risks.
Ziff Davis (ZD) shares show signs of a recent rebound, posting double-digit gains over the last quarter. Yet, a steep annual decline leaves investors questioning if the digital media firm is undervalued or facing structural headwinds. We break down the valuation debate and key risks.
Promised U.S. funds to repair Ukraine's war-shattered energy grid are caught in administrative limbo, leaving millions vulnerable to extreme cold amid renewed Russian strikes and internal U.S. agency disputes.
Amid a year of both share sales and purchases by company executives, a significant insider investment by Andrew Teich signals underlying confidence in Resideo Technologies' future, even as the firm navigates a challenging financial landscape.
While fintech has streamlined user interfaces, the backbone of finance remains slow. Cryptocurrency's native digital settlement presents a structural shift. Amid regulatory uncertainty, Cantor Fitzgerald identifies three public companies positioned to bridge the gap between traditional finance and the blockchain ecosystem.
As uncertainty shapes European markets, some investors are turning their gaze to penny stocks for potential growth. We analyze three companies—GreenMerc, Transferator, and FORIS AG—that combine intriguing prospects with the inherent risks of small-cap investing.