VIX Index Stock Indices · Bonds
VIX Index News
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Wall Street Analysts Name Meta Platforms (META) a Top Large-Cap Buy, Projecting 43.58% Upside to $799.31 Despite Q2 EPS Miss
Wall Street analysts have identified Meta Platforms (META) as a top large-cap buy, with one firm setting a 12-month price target of $799.31, implying 43.58% upside from its current trading price of $5
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Goldman Sachs Expects S&P 500 Volatility to Rise Ahead of US Midterm Elections, Citing Historical Median 0% Returns Pre-Election and 6% Post-Election
Goldman Sachs strategists expect S&P 500 volatility to increase in the coming months as the US midterm elections, now three months away, become a more influential driver of market sentiment. They note
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Berkshire Hathaway's investment in Alphabet, the parent company of Google, has exceeded $30 billion, making it the company's third- or fourth-largest holding.
According to reports, Warren Buffett has begun making large-scale investments in Alphabet, the parent company of Google, ahead of his planned step-down from the day-to-day operations of Berkshire Hath
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Vanguard's BND ETF has quietly outperformed iShares' AGG ETF over 10 years, despite higher fees
A comparison of the two largest total bond market ETFs, Vanguard Total Bond Market ETF (BND) and iShares Core U.S. Aggregate Bond ETF (AGG), reveals that BND has held a narrow lead in total returns ov
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Billionaire Investor Stephen Mandel's Lone Pine Capital Reveals Top 5 Stock Picks from Latest 13F Filing, Including a Stock Up 99% in a Year and Another with $1B Buybacks
Billionaire investor Stephen Mandel's Lone Pine Capital disclosed its top five U.S.-listed stock picks in its latest 13F filing, dated March 31 and filed May 15. The picks include Carpenter Technology
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Amazon's debt nearly doubled to $128.9 billion in 6 months as CEO Jassy defends $220 billion data center spending
Amazon's long-term debt has nearly doubled in six months, rising from $65.6 billion at the end of December to $128.9 billion by June 30. This surge comes as CEO Andy Jassy defends the company's substa
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Amazon Reports Abnormally Large Earnings Growth Driven by Anthropic Investment Paper Gains
Amazon, the latest Big Tech company to report abnormally large earnings growth, attributed this surge to paper gains from its investments in Anthropic. This development is contributing to an even more
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U.S.-Iran War Fuels Short-Term Oil Market Gains, But Experts Warn Against Long-Term Holding as WTI Crude Forecasted to $60
The U.S.-Iran war has significantly boosted short-term profits for major energy companies like ExxonMobil and Chevron, with Exxon's profits doubling to $14.5 billion and Chevron's net income surging n
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Some U.S. states are expanding their student loan programs in response to new federal borrowing limits, but consumer advocates are warning of the risks involved
As new federal student loan borrowing limits take effect, some U.S. states—including Connecticut, Minnesota, and Rhode Island—have expanded their respective student loan programs.Under President Donal
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Semiconductor Stocks Unwind, Sparking Volatility Amid AI Spending Concerns
The previously strong one-way trade in semiconductor stocks, a key driver of equity markets this year, is unraveling. This shift is triggering significant market volatility as investors grow increasin
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Airbnb Q2 revenue increased by 17% to $3.61 billion, stock price surged by 14% as AI customer support reduced the cost per booking by 16% and full-year outlook was raised.
Airbnb announced its second-quarter results, with revenue increasing by 17% year-over-year to $3.61 billion, exceeding market expectations. The company also raised its full-year revenue growth forecas
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Buy now, pay later company Sezzle (SEZL) stock plunged 33.89% to $118.02 on Friday, wiping out about $2 billion in market value, despite reporting record Q2 revenue and raising full-year gui
The sharp decline followed the company's Q2 earnings report, which showed revenue up 51.7% year-over-year to $149.7 million and net income up 47.7% to $40.8 million. Management also raised its full-ye
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Analysis indicates that if the stock market faces a collapse, history shows that long-term investment strategies have never failed; currently, both the Buffett Indicator and the Shiller P/E ratio are at historical highs, suggesting the market may be overvalued.
An analysis article from Yahoo Finance points out that while major market indices are repeatedly hitting new highs, the Buffett Indicator has surged to a record-breaking over 232%, and the S&P 500 Shi
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Upstart (UPST.O) shares fell 23% in July due to macroeconomic pressures and concerns that agent AI could replace SaaS products.
Upstart (UPST.O) shares fell 23% in July, primarily due to ongoing pressure on lenders from macroeconomic data and market concerns that agent artificial intelligence (AI) could replace software-as-a-s
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JPMorgan analyst Harlan Sur raised AMD's stock price target to $550 from $385, maintaining a "Neutral" rating after the chipmaker's recent earnings report.
JPMorgan analyst Harlan Sur raised AMD's stock price target to $550 from $385, maintaining a "Neutral" rating after the chipmaker's recent earnings report.
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China Bets on AI Stocks in Race Against US for Chip and Tech Dominance
The strategy marks a break from Beijing’s traditional reliance on subsidies and state funding, signaling a shift in its approach to fostering technological leadership.
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Micron Stock Drops 27% Since Mid-June Amid Broader AI Spending Skepticism, Despite Strong Q3 Sales Growth of 345%
A recent analysis suggests that Micron Technology's stock has fallen 27% since mid-June, driven by general investor skepticism about the sustainability of artificial intelligence (AI) spending, rather
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LongHorn Steakhouse President Laura B. Williamson sold 1,553 shares of Darden Restaurants (DRI) stock on July 31 at an average price of $204.48, following LongHorn's 9.5% comparable sales gr
The sale, disclosed in a recent SEC Form 4 filing, occurred despite LongHorn Steakhouse being a strong performer for Darden, though the company noted it has been absorbing higher beef inflation which
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Analysts project TSMC's revenue to grow 42% in 2026 and 32% in 2027, with CEO expecting strong chip demand through 2029-2030
Wall Street analysts anticipate Taiwan Semiconductor (TSMC) will see 42% revenue growth in 2026 and 32% in 2027. TSMC CEO C.C. Wei believes strong chip demand, driven by AI, will continue through at l
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Jim Cramer advises investors to view SpaceX as a long-term, generational asset, comparing its infrastructure build-out to 19th-century railroads
Following a tumble in SpaceX shares after its earnings report, CNBC's Jim Cramer suggested investors should evaluate the company over decades rather than quarterly. He drew a parallel between SpaceX's
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"CIPHER Coin" Value Analysis: Distinguishing Crypto Tokens from Public Companies, Discussing Investment Potential
The term "ciph coin" may refer to two different assets: one is Cipher (CIPHR/CYPH), a cryptocurrency token based on the BNB Chain, with limited public information and trading activity; the other is Cipher Digital (CIFR.US), a US-listed company that is transitioning from Bitcoin mining to an AI high-performance computing service provider. This article will analyze the current status and potential value of these two assets separately, and discuss their long-term investment prospects.
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Bitcoin Analysis of Correlation with U.S. Stocks: Will Markets Move in Tandem During a Market Crash?
Bitcoin The correlation with the U.S. stock market has long been a focus of attention. Historically, Bitcoin has shown a high degree of convergence with the S&P 500 Index, particularly after institutional investors entered the market.However, as of July 2026, the latest data shows that the short-term correlation between Bitcoin and the U.S. stock market has declined significantly, even turning negative, sparking debate over whether it can serve as an independent safe-haven asset. Macroeconomic factors, Federal Reserve policy, and institutional adoption continue to influence the performance of Bitcoin, causing its role to oscillate between that of “digital gold” and a high-risk asset.
VIX Index Summary
Often referred to as the "fear index" or "fear gauge," the VIX typically has an inverse relationship with the S&P 500. When the market is calm or rising, the VIX tends to be low. Conversely, during periods of market stress, uncertainty, or sharp declines, the VIX tends to rise as investors purchase options to hedge their portfolios, driving up their implied volatility. Major drivers for VIX movements include geopolitical instability, unexpected economic data releases, central bank policy shifts, and other significant market-moving events.
For cryptocurrency investors, the VIX serves as a crucial indicator of broader market risk appetite. A rising VIX often signals a "risk-off" environment, where investors flee from higher-risk assets, such as cryptocurrencies and tech stocks, towards safer havens like government bonds and cash. Conversely, a low or falling VIX indicates a "risk-on" sentiment, suggesting greater market stability and investor confidence, which can create a more favorable environment for speculative assets like digital currencies. Monitoring the VIX can therefore provide valuable context on the macroeconomic climate influencing the crypto market.
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