The iShares MSCI Europe Financials ETF (EUFN) offers pure-play exposure to developed European financial stocks, emphasizing banks and giant-caps. EUFN trades at 25-30% valuation discounts to US financials, boasts a 3.58% yield, and could provide useful portfolio diversification given a relatively low beta with the S&P500. Risks include heavy bank exposure amid weak European GDP growth, declining net interest income, and above-average tracking error versus its index.
This earnings season has shown that businesses of all sizes are prioritizing cybersecurity spending like never before, so cybersecurity stocks should be moving higher. But many of the top stocks in this sector have declined sharply since the middle of November, despite posting strong earnings and guidance.
It's been another outstanding year for stocks in 2025, but the outlook for 2026 could be even more lucrative. Kevin Matras will help you take full advantage of this raging bull market by finding the best stocks set to charge in the New Year.
Are investors ready to buy into Rivian's vision for its autonomous vehicles and AI?
Shopify Inc. (SHOP) Presents at 53rd Annual Nasdaq Investor Conference Transcript
Husqvarna AB (publ) (HSQVY) Analyst/Investor Day Transcript
Aftermath Silver Ltd (TSX-V:AAG, OTCQX:AAGFF) earlier this week outlined its dual-drilling strategy at two key assets in Peru and Chile. The company said it had commenced a 4,000 to 6,000-metre drilling program at the Berenguela project in southern Peru.
Tiziana Life Sciences Ltd (NASDAQ:TLSA) announced that it has begun enrolling participants in its Phase 2 randomized, placebo-controlled clinical trial evaluating intranasal foralumab in early Alzheimer's disease, with the first patient expected to be dosed next week. The trial will study foralumab, a fully human anti-CD3 monoclonal antibody, as both a standalone therapy and in combination with the FDA-approved anti-amyloid drugs lecanemab or donanemab.
Last month saw the Federal Reserve cut interest rates for the second time, with capital markets prognosticating on just how aggressive the central bank will be in 2026. This uncertainty could cause investors to wonder how to extract income in this rate-cutting cycle.
When bitcoin sneezes, altcoins often catch a cold or worse. For many altcoins, that's exactly the scenario that's playing across more than two months of bitcoin volatility and retrenchment.
Top Performing Leveraged/Inverse ETFs Last Week These were last week's top performing leveraged and inverse ETFs. Note that because of leverage, these kinds of funds can move quickly.
Arizona Gold & Silver Inc (TSX-V:AZS, OTCQB:AZASF) CEO Mike Stark spoke with Proactive following a fresh set of encouraging drill results from the Perry claim, saying the latest holes continue to “deliver exactly what we're hoping for” as the company steps out along strike and at depth. The newest intercept, hole 157, returned what Stark described as “a great, great hit again,” doubling the width of the mineralised interval seen in hole 156.
SBA Communications is trading near five-year lows, offering fair value for a high-quality telecom infrastructure REIT. SBAC's business model features long-term, escalator-driven leases with major U.S. telecoms and 25% revenue exposure to international emerging markets. Despite high leverage, SBAC's strong cash flow margins and prudent deleveraging support steady AFFO per share growth and future M&A flexibility.
Southwest Airlines said on Friday it would open a crew base at Austin-Bergstrom International Airport in March 2026, creating more than 2,000 jobs as the carrier looks to expand its footprint in fast-growing central Texas.
The AI boom isn't just reshaping the digital economy—it's triggering a copper crunch that could redefine global resource markets for decades. As hyperscale data centers multiply and energy demand surges, copper has emerged as the silent backbone of the AI revolution, pushing prices to record highs and stretching supply chains to their limits.
Cory Johnson considers Oracle's (ORCL) contracts and incoming cash flow opportunities "fantastic" and calls its $300 billion OpenAI contract "the biggest
The iShares MSCI World ETF has trailed the S&P 500 over the past decade, notwithstanding a marginal outperformance in 2025. The ETF is principally overweight in U.S. megacap tech stocks, resulting in a high trailing P/E ratio. URTH also has a sizable position in cyclical sectors. As such, returns in 2026 will depend on how AI-related stocks perform, as well as the overall economic momentum of the global economy.
Enovix Corporation (ENVX) Fireside Chat: CEO Reflections and Learnings at Emerging Battery Company Transcript
Nebius Group N.V. represents a strong long-term Buy opportunity due to its unparalleled AI infrastructure moat, robust hyperscaler partnerships, and exceptional engineering talent. NBIS's partnerships with Microsoft and Meta Platforms validate its technological edge and provide long-term revenue visibility for this $23B worth company. Management's aggressive CapEx guidance increase to $5B for FY2025 and a robust balance sheet support sustained, rapid growth.
John Lovallo, UBS homebuilders and building products analyst, joins 'The Exchange' to discuss how the homebuilding stocks will perform next year and much more.
SPDR Portfolio Europe ETF offers unhedged exposure to European equities, tracking the STOXX Europe Total Market Index with a 0.07% expense ratio. SPEU has delivered its strongest decade performance in 2024, up 33% YTD, benefiting from a weaker dollar and low portfolio P/E of 16x. The ETF is well-diversified across sectors and geographies, with high weighting in large caps and a 10-year annualized return of 8.5%.
Apple's App Store is a huge and increasingly important money maker Lawsuits and regulatory challenges have tried to change the way the store works for years Now that might — might — finally be happening. If it does, it's a big deal.
GitLab is still a 'Buy,' as AI fears are overblown, with the stock trading at an inexplicably low valuation despite robust fundamentals. GTLB delivers 25% y/y revenue growth, beats Q3 estimates, and guides above consensus while maintaining high-teens operating margins and Rule of 40 discipline. Federal sector headwinds and SMB softness are near-term risks, but enterprise customer growth and a strong sales pipeline support the long-term thesis.
It's no secret how large Facebook and Instagram are. @LikeFolio's Landon Swan says it should also be no secret that A.I.
Joby Aviation has seen selling pressure subside considerably, with buyers supporting shares above the $12 level and maintaining upward momentum. JOBY's Q3 earnings and progress toward FAA certification have shifted market focus to commercialization milestones and a potentially enterprising 2026. With $978 million in cash and cash burn guidance of $500 million–$540 million, JOBY is solidly funded through 2026, redirecting attention from near-term liquidity risks.
Many dividend investors flock to the Schwab U.S. Dividend Equity ETF (NYSEARCA:SCHD) for its high yield and low expense ratio.
Lululemon might just be entering a new—and improved—era.
Microsoft announced Thursday it would buy 3.6 million carbon removal credits from a biofuels plant in Louisiana owned by C2X. The plant, which is slated to begin operating in 2029, will process forestry waste into methanol, which can be used to power ships and planes and as a raw material for chemical manufacturing.
Rubber was oil before oil. As Edmund Morris wrote in his biography of Thomas Edison, rubber was “a raw material essential enough to provoke armed conflict.
United Natural Foods, Inc. (UNFI) Analyst/Investor Day Transcript