Cboe Eyes Prediction Market Turf With New 'Yes-or-No' Options Product
The derivatives exchange giant is developing a simplified options product with fixed payouts, positioning it to compete directly with fast-growing prediction market platforms.
The derivatives exchange giant is developing a simplified options product with fixed payouts, positioning it to compete directly with fast-growing prediction market platforms.
Despite posting record membership, revenue, and a landmark $1 billion quarter, SoFi Technologies' stock faces a steep pullback. While Wall Street maintains a cautious 'Hold,' the company's strategic pivot and robust forecasts suggest the current dip may present a compelling entry point for growth investors.
Amidst market volatility, Roper Technologies emerges as a notable oversold candidate. The diversified tech conglomerate, boasting a 33-year dividend growth streak, shows signs of a potential reversal while strategically integrating AI across its vertical software portfolio.
MicroStrategy's stock has plunged, trading below the market value of its massive Bitcoin treasury. While some analysts see deep value, the company's heavy debt load and reliance on crypto's volatile fortunes raise significant risks for investors.
In a significant move to secure domestic supply chains for critical minerals, the U.S. government has taken a direct 15% equity position in MP Materials. This strategic investment, paired with expanded federal contracts, aims to reduce reliance on foreign sources for rare earths essential to defense and green energy technologies.
Navitas Semiconductor is strategically shifting its focus from volatile consumer electronics to the high-growth, high-margin arenas of AI data centers and electric vehicles, underscored by a pivotal partnership with industry giant Nvidia.
Speculation mounts over a potential merger between Tesla and SpaceX, part of a broader strategic realignment under Elon Musk that could see Tesla shift focus from electric vehicles to humanoid robots and autonomous taxis, with xAI potentially in the mix.
Qualcomm shares have retreated over 12% this year, prompting a fresh debate on whether the chipmaker's long-term AI and edge computing narrative justifies its current valuation.
Main Street Capital (NYSE: MAIN) stands out in the BDC sector with its unique policy of paying monthly dividends supplemented by periodic special payouts. While appealing to income-focused investors, this approach raises questions about the sustainability of its cash flows and the underlying health of its portfolio in a shifting economic landscape.
STAAR Surgical's stock fell sharply after the ophthalmic device maker announced the appointment of interim co-CEOs, fueling investor uncertainty following the CEO's recent departure and a failed takeover attempt.
Shares of Robinhood Markets fell sharply alongside other crypto-exposed firms, pressured by a decline in Bitcoin prices and broader concerns about retail trading momentum.
The Bank of Spain's gold and foreign exchange reserves soared to nearly €94 billion in 2025, a historic peak fueled by global demand. As bullion's role evolves, the nation's complex history with its gold—from the Civil War-era 'Moscow gold' controversy to modern monetary strategy—offers a poignant backdrop.
Despite a soaring stock price, Warrior Met Coal's return on capital employed has plummeted from 2.8% to 0.3% over five years, significantly underperforming its industry and raising questions about its capital allocation efficiency.
Despite solid revenue growth, Microvast Holdings (NASDAQ: MVST) has seen its share price collapse over the past five years, erasing billions in market value and testing the patience of long-term investors.
The U.S. manufacturing sector snapped a year-long contraction in January, with the PMI surging to its highest level since early 2022. A sharp rebound in new orders and production fueled the expansion, though concerns over future tariff policies and a still-sluggish jobs market temper the optimism.
Philadelphia District Attorney Larry Krasner faces mounting pressure and bipartisan condemnation after publicly threatening to 'hunt down' ICE agents, comparing them to Nazis. A Republican congressman has formally urged the Justice Department to open a criminal investigation into the remarks.
Venezuelan oil exports jumped to nearly 800,000 barrels per day in January, rebounding from a low of 498,000 bpd in December, following a U.S. policy shift that allowed key traders to resume shipments, according to tanker tracking data.
While the energy sector retrenched amid falling crude prices, ExxonMobil executed a massive $20 billion share repurchase program in 2025, underlining its financial muscle and commitment to shareholder returns. The oil giant also reported earnings that beat estimates, driven by record production in the Permian Basin and Guyana, even as it takes a hardline stance on reinvesting in Venezuela.
The Swiss watchmaker reported a dip in 2025 profits amid currency headwinds and strategic investments, but forecasts a return to broad-based growth next year, buoyed by robust second-half sales and strong performance in key markets like the Americas.
With interest rates in flux and inflation still outpacing many high street offers, finding a competitive home for your cash is crucial. We break down the top accounts across all categories to help your savings work harder.