Finance
-

Trade Desk Gets Mixed Analyst Signals as Wedbush Sees 2025 Upside
in FinanceAnalysts are weighing Trade Desk’s near-term path as earnings forecasts wobble and ratings shift. With big investors rebalancing and the stock singing a wide swing, the ad-tech leader remains at the center of market debate about its next moves.
-

Amazon Q3 Beat Triggers Mixed Market Moves
in FinanceMarkets drift in mixed fashion as earnings season stirs both optimism and caution. A key retailer’s results sparked a bounce in consumer discretionary names, while other areas of the market waver amid a backdrop of global volatility.
-

Celsius Surges on Alani Nu and Rockstar Acquisitions, Pepsi Partnership Fuels Q3 2025 Growth
in FinanceStrategic acquisitions and a strengthened brand portfolio are redefining Celsius’s growth trajectory. Fresh leadership appointments and expanded partnerships signal a bold new chapter as momentum builds across markets. A glimpse into what’s powering the energy drink maker’s latest push forward.
-

Datadog Q3 Earnings Preview as Analysts Boost Price Targets
in FinanceDatadog’s upcoming Q3 print comes amid a brighter 2025 outlook and a wave of bullish analyst targets. With shares hovering near recent levels, the cloud-monitoring leader’s next move has investors weighing momentum against expectations.
-

Penn Entertainment Set for Earnings Day as Volatile Casino Market Weighs on Stocks
in FinanceAll eyes are on PENN Entertainment as it gears up for its next earnings release. After a quarter that delivered mixed signals, the upcoming report could set the tone for the stock amid ongoing volatility in the casino sector.
-

IRS Direct File Scrapped for 2026 Tax Season
in FinanceOne of the government’s boldest efforts to simplify tax season is being scrapped for 2026. The move prompts questions about convenience, costs, and what comes next for DIY filing and taxpayers nationwide.
-

Swiss Franc Rally Tests SNB as Investors Chase Long-Dated Yields
in FinanceSwitzerland’s famed stability is being tested as the franc climbs and investors hunt for longer-term yields. Central-bank moves, negative-rate signals, and a new wave of attractive bond issues are reshaping the country’s risk-and-reward balance.
-

Affirm’s BNPL Boost: Worldpay Deal and NY Life Backing Ahead of Earnings
in FinanceAffirm is widening its BNPL footprint with a Worldpay distribution deal and a major funding commitment from New York Life, signaling a push to scale through embedded payments. In a landscape crowded with competition, these moves aim to strengthen its lending engine ahead of the upcoming earnings period.
-

Mortgage Refinance Rates Hover Near 7% as Borrowers Weigh Options
in FinanceThinking about refinancing? Rates are still higher than the ultra-low years past, but the right move depends on your loan type and goals. See how conventional, FHA, VA, and jumbo options differ, what costs to expect, and the smart strategies homeowners use to optimize their next move.
-

Can JELD-WEN Turn a Loss into Profit? Automation Sparks Upside Debate
in FinanceAfter a stretch of losses, the company is counting on efficiency gains to flip the profitability story. A steeply discounted valuation meets persistent headwinds like inflation and underutilized capacity, setting up a tense balance between risk and potential reward.
-

Arm Holdings Q2 2026 Earnings Preview: Royalties and Licensing Fuel Revenue Amid Mixed Outlook
in FinanceAll eyes are on Arm as it prepares to reveal its Q2 results after the close. With royalties and licensing revenue in the spotlight and a track record of surprises, the upcoming report could set the next course for the chip designer’s stock.
-

Lyft Poised for Solid Q3 2025 Earnings as Ridership Rebounds
in FinanceLyft’s Q3 2025 results are on the horizon as ridership rebounds and costs come into check. With expectations of a steady earnings beat and growing rider activity, there’s plenty to watch about how revenue momentum could shape its year ahead.
-

Rivian Stock Rises as Analysts Downgrade After Mixed Quarter
in FinanceRivian faces a fresh round of downgrades as Goldman Sachs trims its price target to $13 with a neutral stance. The quarter showed revenue above expectations but an even larger loss, while insider selling and shifting institutional bets add a new layer of volatility. The evolving analyst outlook keeps Rivian in the spotlight as investors…
-

Bilt Teases 3 Cardless Cards for 2026 Launch as Deadline Looms
in FinanceBilt teases a trio of Cardless cards with varying annual fees, set to launch in February 2026. A tight sign-up window for new applicants and a conversion path for Wells Fargo Mastercards hint at big changes to the wallet. Plus, a UWM-backed mortgage-payment reward could reshape rewards, with details still to come and questions about…
-

Bitget Lists Momentum (MMT) on UEX, Boosting Cross-Chain DeFi on Sui
in FinanceMomentum (MMT) lands on Bitget’s Universal Exchange, unlocking new cross-chain liquidity within the Move and Sui ecosystems. The DeFi project brings concentrated liquidity, on-chain yield, and developer-ready resources to a broader audience, as Bitget expands its multi-network trading frontier. A bold step in the evolving world of DeFi and cross-chain finance.
-

Devon Energy Earnings Preview: Revenue Up, EPS Down Ahead of Nov. 5 Report
in FinanceDevon Energy heads into its next earnings report with expectations for softer profits and higher revenue. Analysts have trimmed forecasts and the ESP signal is in focus, making management guidance a potential swing factor as the November 5 release approaches.
-

Shopify Stock Buzz: Big Funds Rebalance Bets After Solid Quarter
in Finance– When big funds shift gears, Shopify’s story heats up. A flurry of portfolio moves and new analyst targets hint at where the e-commerce platform might be headed next. – Institutional investors are recalibrating their bets on Shopify even as analysts adjust their outlooks. The changing stakes and brisk price action point to a pivotal…
-

Navitas Forecasts 53.8% Revenue Slump and 5-Cent EPS Loss Ahead of Q3 2025 Results
in FinanceNavitas Semiconductor is preparing for a quarter many expect to be challenging, with forecasts calling for a significant revenue drop and a per‑share loss. Analysts show a cautious, mixed stance as earnings expectations remain steady, leaving investors keen to see the next move.
-

IRS Boosts EITC for 2026, Hinting at Bigger Refunds Next Year
in FinanceNew changes to the earned income tax credit could mean bigger refunds for more families in the coming years. With higher credits for households with children and revised income limits, the outlook for low- and moderate-income filers could look different.
-

Kimberly-Clark to Acquire Kenvue in $40B Deal, Reshaping Consumer Health
in FinanceTwo consumer-goods powerhouses are teaming up in a blockbuster deal that could reshape health and everyday essentials. Expect big synergies, a broader lineup, and changes on the horizon for shoppers and the market alike.
-

ASML: The EUV Powerhouse Investors Might Be Overlooking in the AI Boom
in FinanceAI’s surge has Nvidia in the spotlight, but ASML is quietly reshaping the semiconductor landscape. As the lone EUV lithography leader with improving cash flow, ASML offers a different kind of upside that could redefine value in the chip cycle. A closer look reveals what this could mean for daring investors.