All Articles
Browse our complete collection of financial news and analysis
February Inflation Print Drops Wednesday: Trading ES, NQ Futures Amid US-Iran Volatility
Stock futures rebound from oil shock as markets await February CPI data, which could influence Fed outlook and near-term market direction.
Consumer Confidence Rebound Signals Tactical Long Opportunities in ES Futures, Dollar Strength Bias Remains
US consumer confidence rose modestly in February, reflecting improved expectations, though overall sentiment remains below recent highs.
ES Futures Teeter at Key Support as Regional War Fears Rise after Escalation in US–Iran Tensions — How Futures Traders Can Position
ES futures slump amid escalating U.S.-Iran tensions but strategists believe de-escalation could spark relief rally and short covering.
ES Futures Recover From Early Dip Even as Strong Data Weakens the Case for Near-Term Rate Cuts: Spotlight Shifts to FOMC Minutes
Durable goods orders declined due to weaker transportation demand, but underlying business investment stayed firm, while housing activity improved, and industrial production strengthened.
Stock Futures Edge Higher Following Trump’s Policy-Focused State of Union Address; ES Contracts Eye Nvidia Earnings Catalyst
Trump highlighted economic progress, tariffs, healthcare reform, homeownership measures, retirement benefits expansion, and strong investment and job growth.
S&P 500 E-mini Futures Eye Key Levels Ahead Of FOMC, Mag 7 Earnings
ES futures hit record highs as weak U.S. data fuels Fed pause bets, while Mag 7 earnings, guidance, technicals drive near-term direction.
Stock Futures Extend Losses Amid Stagflationary Fears as Oil Spikes Past $84 — How to Play the Volatility
Escalating U.S.-Iran tensions and oil supply risks raise stagflation concerns, complicating global monetary policy outlook ahead of key economic data.
Weak Jobs Market Signals Keep Rate Expectations in Flux — Traders Position for Lower Yields and a Softer Dollar
Labor indicators point to weakening demand, rising layoffs, and softening hiring momentum, signaling a fragile labor market and cooling wage pressures.
US Stock Futures Crash After Trump’s National Address Adds More Confusion to Iran War
Equity futures tumbled as escalating Middle East tensions and unclear policy signals drove investors toward safety, boosting oil prices and Treasury yields while attention shifts to upcoming labor market data.
Eurostat Q4 GDP Beats, Jobless Rate Edges Lower — Does Data Give Ammunition For ECB To Hold Fire Next Week?
Eurozone growth beat forecasts, unemployment eased, ECB likely to pause, supporting global stability but offering limited upside amid ongoing uncertainty.
Futures Traders Latch onto Bullish Manufacturing Activity Signals but Price Surge Flashes Warning Signal
Manufacturing growth held up in February as production and new orders remained firm, according to two separate surveys released Monday.
New York Manufacturing Activity Nearly Holds Up Despite Iran War, Input Prices in Check, Expectations Robust — Are Firms Ignoring the Oil Shock?
New York manufacturing stalled in March, even as manufacturers remained cautiously optimistic about investment and future business conditions ahead of the FOMC meeting.