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Editorial coverage in Stocks. Deep, research-driven writing for serious participants in the crypto economy.

The Financial Times reported IEA chief Fatih Birol calling Europe’s slow electrification a major mistake that prolongs fossil reliance. Execution speed now sits at the center of European utilities’ valuations, LNG exposure and EU carbon risk.
States are exploring ways to convert abandoned wells into geothermal or monitoring assets. The push, reported by the Financial Times, aligns with federally funded programs and could reshape service demand and project economics.
The Financial Times reports the largest investment banking fee haul in four years as big deals return. Whether M&A, ECM and DCM all participate, and how higher-for-longer rates evolve, will shape US bank equities.
A rebound in larger deals and equity issuance is lifting investment banking fees, with AI-linked momentum and a resilient US consumer bolstering risk appetite. The near-term earnings tailwind for US banks depends on stable policy and open funding markets.
FT Markets highlights three intertwined summer hotspots. Policy uncertainty around a potential reformist Fed chair, persistent yen weakness with intervention risk, and a concentrated US earnings season could reset pricing across equities, FX, and rates.
The S&P 500 is not just an index. It is the benchmark that trillions of dollars are measured against. Here is how it is constructed and why it dominates.
ETFs bundle exposure to entire markets into a single tradable ticker. Here is how they actually work, why they are cheap, and what to look for before buying.