-
By Nikolaj Gammeltoft and Cecile Vannucci, Bloomberg |
April 22, 2013
U.S. equity volatility rose the most in almost four months last week after unexpectedly slow growth in China and a selloff in commodities triggered the biggest stock-market drop since November.
-
By Nikolaj Gammeltoft and Sarah Pringle |
February 25, 2013
The benchmark volatility gauge for American stock options rose the most in 18 months as stocks tumbled.
-
By Inyoung Hwang |
December 21, 2012
U.S. stocks sank, paring the weekly gain in the Standard & Poor’s 500 Index, after a canceled vote sent budget talks deeper into turmoil.
-
By Nikolaj Gammeltoft and Rita Nazareth, Bloomberg |
October 19, 2012
U.S. stocks fell, sending benchmark indexes toward their biggest declines since June, as Microsoft Corp. and General Electric Co. results missed estimates and euro-area leaders failed to discuss aid for Spain at a summit.
-
By Austin Kiddle |
June 22, 2012
On Thursday, gold, stocks, commodities and the EUR/USD all reacted badly to the weak economic data from China, Europe and the U.S. Gold futures plunged 3.1% to $1,565.50.
-
By Jeff Greenblatt |
February 21, 2012
Weekly technical outlook of financial markets featuring Lucas Wave, Gann analysis and Fibonacci theory.
-
By Phil Flynn |
May 24, 2010
Daily fundamental energy report from Phil Flynn.