
Central Retail Corporation Plc (CRC) posted a 6% drop in core profit to 7.43 billion baht for 2025, even as total revenue rose 4% to 253 billion baht. The fourth quarter showed a 17% profit increase to 2.73 billion baht, driven by strong omni‑channel sales. CRC’s CFO highlighted disciplined cost control and the "New Heights, Next Growth" strategy as buffers against market volatility. The board proposed a combined dividend of 1.81 baht per share, including a special payout from the Rinascente divestment.

Smart Money Concept isn’t about guessing — it’s about understanding liquidity, structure, and institutional intent. Order Blocks. Break of Structure. Session timing. When you learn to read what smart money leaves behind, the chart stops being random. It becomes a map. Trade with logic. Execute...

Automated bank account verification protects AP departments from payment fraud. Fraudsters now use AI‑generated emails and deep‑fake audio to hijack bank‑change requests, leading to costly losses. Real‑time verification confirms account ownership, status, and matches supplier data while creating an immutable...
The Atlantic Council’s #AtlanticDebrief interview with Croatia’s Special Envoy Romana Vlahutin outlines the agenda for the 2026 Three Seas Summit in Dubrovnik. Senior Fellow Ian Brzezinski and Vlahutin discuss how the summit will focus on strategic connectivity, energy diversification, and...
Partners Real Estate has been named the exclusive leasing agent for 1000 Main, a 36‑story, 837,161‑square‑foot office tower in downtown Houston. The building is poised to reach 74 % occupancy, anchored by tenants such as Shell, Porter Hedges and UBS, while retail outlets...
Rigel Pharmaceuticals is set to report its Q4 FY2025 results after the March 3 market close, with analysts forecasting revenue between $75 million and $85 million and earnings per share near $7.00. The company’s revenue trajectory has accelerated from $115.9 million in FY2023...

Gold has dropped sharply amid the swell in volatility - whereas the Dollar has jumped. The metal is still a safe haven, but a lot of capital was deployed during its run up as a diversification play (and some as...
The failed December 7, 2025 coup in Benin has left Niger’s military government even more isolated, sharpening a diplomatic opening for Washington. Niger’s junta seized roughly 1,000 tons of uranium yellowcake from French firm Orano, but legal rulings and transit obstacles have frozen...

The Nasdaq‑100’s fourth‑quarter 2025 earnings fell 0.3 % below consensus, marking a second consecutive quarter of modest results after years of strong beats. Investors are pricing in an aggressive 30 % EPS growth outlook for the next twelve months, making it increasingly...
Corteva posted a modest 1% revenue rise to $5.26 billion, driven by higher commodity prices that revived farmer economics and supported seed and crop‑protection sales. The company leveraged disciplined pricing and cost controls to expand gross margins and lift net income...

This chart plots the ratio of the S&P 600 Index divided by the Russell 2000 Index from the early 1990s to today. Russell 2000 = 2000 “small caps” by market cap, inclusion rules are mostly mechanical and allow many...

SoFi Technologies posted a record $1 billion in fourth‑quarter revenue and double‑digit growth across fee‑based lines, yet its shares have slumped roughly one‑third since the start of 2026. The company’s 2026 outlook projects 30% year‑over‑year member growth, $4.655 billion in net revenue...

Opendoor announced a beta mortgage product that will provide a 30‑year fixed rate of 4.99% with no points or fees, roughly a full percentage point below the current 6% market average. The discount is achieved through reduced margins, automation, and...

This chart shows Energy’s weight in the S&P 500 over time in two dimensions: * Blue line = Energy’s market cap share * Red line = Energy’s forward earnings share Current readings (Mar 2): * Market cap share ≈ 3.4% * Forward earnings share ≈...

The Diplomat’s Asia Geopolitics podcast examined the U.S. and Israeli bombing of Iran, framing it as a flashpoint that could reshape Asian strategic calculations. Hosts Ankit Panda and Catherine Putz highlighted how the conflict tests nuclear deterrence credibility and may inspire North...

Accenture announced a $1.2 billion acquisition of Ookla, the parent of Downdetector, from Ziff Davis, bringing Speedtest, Ekahau and RootMetrics into its portfolio. The deal expands Accenture’s intelligence and analytics capabilities for telecom operators, hyperscalers and enterprise networks. Ziff Davis will apply the...
Greater Phoenix solidified its position as a leading U.S. industrial market in 2025, according to Colliers. Vacancy slipped 10 basis points to 9.7% in Q4, while net absorption reached 3.2 million square feet, totaling 18.2 million for the year – the strongest...
Box Inc. is set to report Q4 FY2026 results on March 3, with consensus revenue forecast around $290 million, a modest 3.8% year‑over‑year increase, and non‑GAAP EPS projected at $0.34, down 19% from the prior year. The company highlights its Box...

IDB Invest is extending up to $185 million in financing to Argentine renewable leader Genneia to develop four solar parks and a 40 MW battery storage system. The solar projects total 340 MW across Mendoza, San Juan and Buenos Aires provinces, while the battery will...

IDB Invest is committing up to $185 million to Genneia S.A. to develop four solar parks and 40 MW of battery storage across Argentina. The solar projects total 340 MW, with sites in Mendoza, San Juan and Buenos Aires, while the battery system will connect...
The Prospectors and Developers Association of Canada (PDAC) conference in Toronto, drawing over 27,000 attendees, has placed critical minerals at the forefront of its agenda. Industry leaders warned that geopolitical fragmentation is heightening supply‑chain vulnerability for metals such as copper,...

In the latest Net Interest Extra episode, sociologist Sarah Quinn discusses her book *American Bonds*, which argues that credit markets have been a foundational force in shaping the United States. Quinn traces how borrowing practices influenced industrial growth, urbanization, and...

Emerging market equities delivered a 33.6% return in 2025, the strongest since 2017, outpacing the MSCI World’s 21.1% gain. Analysts cite continued dollar weakness, lower valuations, and AI exposure as catalysts for further outperformance into 2026. Inflows are expected as...

GitLab (GTLB) heads into its quarterly earnings call at 4:05 pm, with an implied 15% price move priced in by the market. The stock has tumbled 50% since the end of October and now trades at roughly three times forward revenue,...

Macquarie Asset Management’s Asia‑Pacific Infrastructure Fund 4 has teamed with South Korean IT firm Gabia and its network subsidiary KINX to launch a $420 million hyperscale data‑center venture. The joint‑venture will initially build a 40 MW facility in Ansan, Seoul, and aims to...

Technical analysis isn't meant to be a prediction tool, but better used to show levels and momentum. Then it is up to Mr. Market to see how it trades. GC met the projected downside, but it did not have...

If you only have one savings account… uummm yeah. You’re gonna want to read this. P.S: Go here for my favorite checking/savings account recommendation https://vist.ly/4tjz9

The UK hotel sector rebounded strongly in the second half of 2025 after a difficult first half marked by rising costs and softer ADRs. RevPAR across London and regional markets finished roughly level with 2024, while occupancy in regional hotels...

But nothing wrong with stacking cash to buy assets. 🏆 Follow @chasecalhoun.realestate for more on build-to-rent and real estate investing. #realestate #investmentproperty #buildtorent

Updated chart of our 1-variable stock market. This is how markets behave during exogenous shocks - stocks need oil to peak. Aftermath eco forecasts rarely matter. Same thing happened last year, but with trade uncertainty. Need something to the...
The worst commercial real estate underwriting in our market isn’t private credit (and that’s pretty bad)…it’s credit unions.
Joining @CNBCTheExchange in an hour to discuss market volatility, $SPX, and what the pullback in former leaders like $MU signals for semis #fairleadstrategies

Yesterday a 7th Omen was triggered. The last instances there was a cluster of 6 or 7 Omens were February 2020 and August 2019. Obviously this is not February 2020, but it's similar to the August 2019 downtrend in which...
This is why reporters and policymakers should look at net flows (buying - selling), not just buying.

Damon's morning buy. (he shows his trades live online as well as his market profile work). #DamonPavlatos https://t.co/Hs8kF4Xy68
Morning reaction up was best play of the day...now what? No leadership shares making new highs on the day (T and VZ do not count.) Close under or over 6800? Market rarely pulls same move two days in...
I was on @Marketplace with Kai Ryssdal yesterday to discuss fallout from the spike in oil prices for the global economy and what this means for US reserve currency status. We're getting a risk-off Dollar rally now, but medium-term this...

The spring housing market is waking up. We’ve been feeling that since January, but it’s starting to show up a bit more in the stats now that we have two months under our belt in 2026. Pending contracts have been...

U.S. Dollar gapping up to the highest level since early Dec. '25. Written recently at Thrasher Analytics about the pot'l for dollar strength based on COT positioning data. $UUP $USD https://t.co/Q0aZULVSnr

$XLE - The 14 week RSI is currently around 80. The last time it reached 80 was in June 2014. The June 2014 top was a major top that was followed by an almost 6 year bear market. https://t.co/VHRCjpkX18

Selecting mutual funds is one of the most important jobs investors face. But using sharpe ratio may not be the answer if you have a limited ability to borrow. By @ebasilico https://t.co/x4TGFkaBHH https://t.co/d7tayubSd2

$LLY sideways for 3 months, underneath the 10-day, 21-day, 50-day, and 63-day moving averages. A little umbrella top. But RETA. Goddamn RETA, powerful, game changer. https://t.co/89KoJgjmV2

Not as meaningful cavefill levels to upside (prefer to see on 120/240) but still, shows the importance of Europe levels. US session charts shows in a different way (8 AM EST) https://t.co/wQnjwcg9P9
Paramount Skydance Debt Downgraded to Junk Status by Fitch Ratings Following Warner Bros. Discovery Deal https://t.co/bBiUN3grT5 via @variety
“Nobody is starting construction until the costs come down.” Exactly Upzoning is **necessary** but not **sufficient** to solve the housing crisis
The VIX curve just flipped into backwardation. The MAR/APR spread hit -2.35. What does that mean? In contango (normal), you PAY to hold vol exposure every day. In backwardation, the market PAYS YOU to hold it. Panicking hedgers are transferring their risk premium directly...

I did a video on the overview of the 'risk off' position last night after the US close. We are shifting into the more intense, sentiment-driven scenario: higher correlations, preference for liquidity above most other features, more intense moves. https://t.co/wSiCdtzp9e https://t.co/sRCRYfdQxz

SP: technical reversion to the mean after time of day (end of first hour) climax on financials currencies, metals etc... https://t.co/Dgn0sGiXMm
Here is a podcast I did with @Stansberry Research and explained how Trading is Math: ⬇️ The 2:1 Rule That Makes You Profitable https://t.co/bgnpbRBOw9
FWIW/IMHO: markets are pricing in a supply shock. Different from the pandemic, no expectation of rate cuts that wouldn't help. Real rates up.