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8/19
11:45
KME Group Spa has reportedly selected banks to arrange a Frankfurt listing for its copper-nickel producing unit, Cunova GmbH. The IPO could value the unit at as much as €1 billion ($1.2 billion). Berenberg and UniCredit SpA have been chosen to arrange the initial public offering, which could take place this year or in 2027.
11:44
该服务通过结合Starlink与地面网络,提供主用、备用和“不间断互联网”,旨在确保企业即使在最偏远地区也能保持连接。
11:44
The analysis suggests that Bitcoin, which accounts for 60% of the crypto market, can serve as a hedge during macroeconomic and geopolitical crises due to its historical uncorrelation with other assets. BlackRock recommends a 1%-2% allocation for typical investors.
11:38
The analysis suggests consumer goods giant Procter & Gamble (PG) is an attractive long-term investment due to its wide competitive moat. Key reasons include its strong position with retailers like Walmart, its substantial advertising budget of $10.2 billion last year (against $87 billion in revenue), and its impressive dividend growth track record. The company announced its 70th consecutive annual dividend increase in April, qualifying it as a "Dividend King," with a forward-looking dividend yield of 3%.
11:38
Kingsoft Cloud reported a break-even quarter with sales of approximately $452.8 million, significantly outperforming analysts' target of a $0.12 per-share loss. The company's revenue climbed 31% year over year, with its artificial intelligence (AI) cloud business gross billings increasing roughly 82% compared to the prior-year period. Non-GAAP gross margin improved to 15.4% from 14.9%.
11:33
The private credit market is entering a more challenging phase, with non-accrual debt and other signs of borrower distress increasing. According to LCD data, reported non-accrual debt for US-based Business Development Companies (BDCs) rose to 1.9% of total debt at cost in Q1 2026, up 52 basis points from the prior quarter. When adjusted to count all debt owed by borrowers with at least one non-accrual tranche, exposure reached 3.3% in Q1, an increase of 116 basis points.

For the ten largest publicly traded BDCs, reported non-accrual debt climbed to 3.95% of total debt at cost in Q2, up 20 basis points from the prior quarter. Their adjusted non-accrual exposure for the period rose 54 basis points to 5.95%.
11:33
Bank of America analyst Vivek Arya maintained a Buy rating on Intel but lowered his price target to $145 from $160. This adjustment accounts for the estimated 4% to 5% earnings-per-share dilution resulting from Intel's recent $20 billion stock sale and generally lower valuation multiples across AI-compute stocks. Arya views the capital raise as a net positive, suggesting it indicates management's increased confidence in Intel's foundry ambitions.
11:32
Injective's affiliated entity secured the registration, which adds regulated market infrastructure to its expanding efforts in tokenized assets.
11:29
An analysis article from Yahoo Finance points out that, against the backdrop of a potential market pullback, three US stocks—Walmart (WMT), McDonald's (MCD), and Gilead Sciences (GILD)—have demonstrated resilience during the past two significant market downturns (2008 and 2022), outperforming the S&P 500 index. The article suggests that these companies, due to the nature of their businesses, such as Walmart's everyday essential retail, McDonald's value dining, and Gilead Sciences' life-saving medicines, maintain stable demand even during times of economic uncertainty, making them potential safe-haven investment choices.
11:26
Analysts say Bitcoin is close to forming a pattern that could signal prices rising to as high as $76,000.
11:23
Oracle achieved an EPS of $2.11 and revenue of $19.18 billion in the fourth quarter of fiscal year 2026, with cloud infrastructure revenue growing 93% to $5.79 billion. Management signed $67 billion in AI infrastructure contracts within a single quarter, and global GPU utilization reached 97.5%. Despite a 40.26% decline in stock price over the past year, analysts believe its massive backlog provides "extraordinary visibility" for future revenue growth.
11:05
Plisek argues that DeFi's headline yield figures do not reflect its performance under stress and advises investors to ask four key questions before committing funds.
11:04
Jefferies Credit Partners is seeking to raise approximately 1 billion euros ($1.16 billion) from investors in the private credit secondary market.
11:02
Aramark (NYSE: ARMK), a food service and facilities management company, announced its third-quarter results, with organic revenue increasing by 9% year-over-year to $5 billion and adjusted earnings per share leaping by nearly 30%. The company also raised its full-year revenue growth outlook and noted that its business footprint in AI data centers is expanding, becoming a new growth driver.
10:58
A recent Markets Pulse survey found that two-thirds of 392 respondents expect the US 10-year Treasury yield to exceed 5% before year-end, a level barely seen since 2007. Of these, 38% anticipate the breach in the fourth quarter, while 28% foresee it happening this month or next.
10:56
The retailer reported adjusted earnings of $1.22 per share against an expected $1.19, with sales roughly matching expectations at $15.2 billion. However, its Marmaxx division, which includes T.J. Maxx and Marshalls, underperformed, leading management to project Q3 growth of only 2%-3%.
10:54
The cross-border transaction is Swift’s first in a pilot project, aiming to test settlement and maintain its relevance as stablecoins and tokenized deposits become widely used worldwide.
10:43
The investment bank will help its institutional clients execute block event contracts on the CFTC-regulated Kalshi exchange. This move aims to increase institutional participation in prediction markets, with Kalshi's market maker Susquehanna International Group providing quotes and liquidity, and Cantor assisting clients as a broker in arranging and executing trades.
10:34
The NEOS S&P 500 High Income ETF (SPYI) shows a distribution rate near 11.78% and an SEC 30-day yield of 0.47%. An analysis explains this discrepancy arises because the SEC's yield calculation formula, designed for bond coupons and stock dividends, excludes income from option premiums, which are SPYI's primary source of income. The fund's total return, up 11% year-to-date and 18% over the trailing year, is suggested as a more reliable metric than either yield figure, with future payouts dependent on the VIX (implied volatility index).

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