• GBPUSD Forecast & Predictions for 2026, 2027, 2028–2030 and Beyond

    GBPUSD Forecast & Predictions for 2026, 2027, 2028–2030 and Beyond
    The GBPUSD pair is one of the most popular major currency pairs in the Forex market, representing the exchange rate of the British pound against the US dollar. This pair is highly sought after by traders, investors, and hedge fund managers globally.This article reviews the history and features of the trading instrument, providing technical and fundamental analysis and examining long-term forecasts from reputable analytical agencies. The analysis provides insights into the factors influencing the
  • WTI Crude Oil: Elliott Wave Analysis and Forecast for 04.09.26–11.09.26

    WTI Crude Oil: Elliott Wave Analysis and Forecast for 04.09.26–11.09.26
    Major Takeaways Main scenario: Consider long positions from corrections above 79.00 with a target of 105.17–115.50. A buy signal: the price holds above 79.00. Stop Loss: below 77.50, Take Profit: 105.17–115.50. Alternative scenario: Breakout and consolidation below 79.00 will allow the asset to continue declining to the levels of 67.00–58.50. A sell signal: the level of 79.00 is broken to the downside. Stop Loss: above 80.50, Take Profit: 67.00–58.50.Main ScenarioConsider
  • USD/JPY: Elliott Wave Analysis and Forecast for 04.09.26–11.09.26

    USD/JPY: Elliott Wave Analysis and Forecast for 04.09.26–11.09.26
    Major Takeaways Main scenario: Consider short positions from corrections below the level of 160.38 with a target of 151.76–148.92. A sell signal: the price holds below 160.38. Stop Loss: above 161.00, Take Profit: 151.76–148.92. Alternative scenario: Breakout and consolidation above the level of 160.38 will allow the pair to continue rising to the levels of 163.90–166.50. A buy signal: the level of 160.38 is broken to the upside. Stop Loss: below 159.80, Take Profit: 163.90&nda
  • GBP/USD: Elliott Wave Analysis and Forecast for 04.09.26–11.09.26

    GBP/USD: Elliott Wave Analysis and Forecast for 04.09.26–11.09.26
    Major Takeaways Main scenario: Consider long positions from corrections above 1.3470 with a target of 1.3870–1.4140. A buy signal: the price holds above 1.3470. Stop Loss: below 1.3425, Take Profit: 1.3870–1.4140. Alternative scenario: Breakout and consolidation below 1.3470 will allow the pair to continue declining to the levels of 1.3275–1.3140. A sell signal: the level of 1.3470 is broken to the downside. Stop Loss: above 1.3515, Take Profit: 1.3275–1.3140.Main Scenari
  • Advertisement

  • Why Uranium Stocks Are Falling as U.S. Production Triples

    Why Uranium Stocks Are Falling as U.S. Production Triples
    U.S. uranium production reached its highest level since 2017, climbing to 2.1 million pounds in 2025 and 2.13 million pounds during the first half of 2026, according to data from the Energy Information Administration. Second-quarter output increased 4.7% to 1.09 million pounds as six facilities operated across Wyoming, Texas and Utah. However, despite this substantial growth, domestic production remains minimal relative to national consumption patterns.
    U.S. nuclear utilities purchased 46.9 mil
  • The Best-Performing Commodity ETFs of 2026: Oil and Broad Baskets Lead the Pack

    The Best-Performing Commodity ETFs of 2026: Oil and Broad Baskets Lead the Pack
    Commodity exchange-traded funds demonstrated significant performance divergence during 2026, with energy-focused vehicles substantially outpacing precious metals and nuclear-related investments. The United States Oil Fund (USO), which tracks front-month light sweet crude futures contracts, posted the strongest returns among major commodity funds in the category, delivering approximately 103.9% year-to-date performance and about 88.4% over the trailing 12 months. The fund benefited from tighter
  • Tesla’s August Europe Sales Surge in Some Markets, Slide in Others

    Tesla’s August Europe Sales Surge in Some Markets, Slide in Others
    Tesla experienced divergent performance across European markets during August, according to registration data that serves as a proxy for sales figures. Strong growth was recorded in France with a 279% year-over-year increase and Denmark with a 104% increase, while significant declines occurred in Norway and Spain, each down 79%, alongside drops of 41% in Sweden, 37% in Portugal, and 36% in Italy.
    The positive registrations reflect Tesla’s broader European recovery during 2026 following tw
  • Netskope Q2 Earnings Call Highlights

    Netskope Q2 Earnings Call Highlights
    Netskope reported second-quarter fiscal 2027 results that surpassed its guidance targets, with the cloud and AI security company posting revenue growth of 29% year over year to $220.5 million. Annual recurring revenue increased 27% to $899 million, while net new ARR reached $54 million, up 9% from the comparable period. The company saw regional revenue growth of 37% in EMEA, 31% in Asia-Pacific and Japan, and 25% in the Americas.
    Netskope demonstrated expanding operational efficiency despite ma
  • Advertisement

  • Five Below Q2 Earnings Call Highlights

    Five Below Q2 Earnings Call Highlights
    Five Below, Inc. reported second-quarter fiscal 2026 results that surpassed expectations, with net sales increasing 23% to $1.3 billion compared with the prior-year period. Comparable sales grew more than 14%, marking the retailer’s fifth consecutive quarter of double-digit comparable-sales increases. Adjusted diluted earnings per share more than doubled to $1.68 from the year-earlier quarter. Chief Executive Officer Winnie Park attributed the performance to the company’s customer-f
  • Brown-Forman (BF-B) Struggles with Weak Spirits Demand and Canada Headwinds

    Brown-Forman (BF-B) Struggles with Weak Spirits Demand and Canada Headwinds
    Brown-Forman Corporation reported first-quarter results marked by a sales decline and broad-based weakness across its portfolio, though the company achieved an earnings beat on a per-share basis. Net sales reached $911 million, representing a 1% year-over-year decline and falling slightly short of analyst expectations of $914.9 million. However, adjusted earnings per share came in at $0.38, exceeding the estimated $0.37. The company maintained its full-year guidance, projecting flat organic sal
  • August LMI: Capacity at 40, Yet Prices Soar. Why This Disconnect?

    August LMI: Capacity at 40, Yet Prices Soar. Why This Disconnect?
    The August Logistics Managers’ Index revealed a divergence between transportation capacity and pricing dynamics in the freight market. The overall LMI registered 66.6 for August, declining 2.2 points from the previous month, primarily due to slower inventory growth. Transportation capacity measured 40, remaining significantly below the 50-point expansion threshold but showing improvement of 11 points from July, marking the slowest contraction rate in six months. Transportation utilization
  • EUR/USD: Elliott Wave Analysis and Forecast for 04.09.26–11.09.26

    EUR/USD: Elliott Wave Analysis and Forecast for 04.09.26–11.09.26
    Major Takeaways Main scenario: Consider long positions from corrections above 1.1560 with a target of 1.1790–1.2088. A buy signal: the price holds above 1.1560. Stop Loss: below 1.1515, Take Profit: 1.1790–1.2088. Alternative scenario: Breakout and consolidation below 1.1560 will allow the pair to continue declining to the levels of 1.1346–1.1200. A sell signal: the level of 1.1560 is broken to the downside. Stop Loss: above 1.1605, Take Profit: 1.1346–1.1200.Main Scenari
  • Gold Has the Market on Its Side. Forecast as of 04.09.2026

    Gold Has the Market on Its Side. Forecast as of 04.09.2026
    Speculators are increasing their long positions, retail investors are boosting their ETF holdings, and central banks are adding to their gold reserves. Against this backdrop, buying the dip is becoming the best strategy for XAU/USD. The NFP report may provide an opportunity to put this strategy into action. Let's discuss this topic and outline a trading plan.Major Takeaways The precious metal is sensitive to market confidence in the Fed. Central banks continue to buy gold. Asset managers are inc
  • USD/CHF: Elliott Wave Analysis and Forecast for 04.09.26–11.09.26

    USD/CHF: Elliott Wave Analysis and Forecast for 04.09.26–11.09.26
    Major Takeaways Main scenario: Consider long positions from corrections above 0.7948 with a target of 0.8204–0.8400. A buy signal: the price holds above 0.7948. Stop Loss: below 0.7910, Take Profit: 0.8204–0.8400. Alternative scenario: Breakout and consolidation below 0.7948 will allow the pair to continue declining to the levels of 0.7755–0.7593. A sell signal: the level of 0.7948 is broken to the downside. Stop Loss: above 0.7985, Take Profit: 0.7755–0.7593.Main Scenari
  • USD/CAD: Elliott Wave Analysis and Forecast for 04.09.26–11.09.26

    USD/CAD: Elliott Wave Analysis and Forecast for 04.09.26–11.09.26
    Major Takeaways Main scenario: Consider short positions from corrections below the level of 1.3945 with a target of 1.3548–1.3400. A sell signal: the price holds below 1.3945. Stop Loss: above 1.3985, Take Profit: 1.3548–1.3400. Alternative scenario: Breakout and consolidation above the level of 1.3945 will allow the pair to continue rising to the levels of 1.4085–1.4250. A buy signal: the level of 1.3945 is broken to the upside. Stop Loss: below 1.3905, Take Profit: 1.4085&nda
  • Short-Term Analysis for Oil, Gold, and EURUSD for 04.09.2026

    Short-Term Analysis for Oil, Gold, and EURUSD for 04.09.2026
    Welcome, my fellow traders! I have prepared a price forecast for US Crude, XAUUSD, and EURUSD using a combination of the margin zones method and technical analysis. Based on the market analysis, I suggest entry signals for intraday traders.The euro is rising from the key support of the short-term trend.Major Takeaways USCrude: Oil is approaching the 88.91–88.71 zone. XAUUSD: Gold is testing the 4,464 level. EURUSD: The euro is rising after touching support B at 1.1585–1.1572.Oil Pric
  • Short-Term Analysis for BTCUSD, XRPUSD, and ETHUSD for 04.09.2026

    Short-Term Analysis for BTCUSD, XRPUSD, and ETHUSD for 04.09.2026
    Dear readers,I've prepared a short-term forecast for Bitcoin, Ripple, and Ethereum based on Elliott Wave analysis.Major Takeaways BTCUSD: The price continues to rise in a bullish correction (B). Consider long positions with a Take Profit at 81,397.56. XRPUSD: The asset continues to rise in an impulse [C] of wave XX. Consider long positions with a Take Profit at 1.694. ETHUSD: The rise in the fifth part of a bullish impulse continues. Consider long positions with a Take Profit at 2,565.06.Elliott
  • US Dollar Faces Crucial Test as NFP Data Approach. Forecast as of 04.09.2026

    US Dollar Faces Crucial Test as NFP Data Approach. Forecast as of 04.09.2026
    A sharp drop in the probability of the Fed tightening monetary policy in September—from 70% to 50%—has sent the EUR/USD soaring. What impact will the US August jobs report have on the pair? Let's discuss the potential scenarios and build a trading plan.Major Takeaways The market remains uncertain about a Fed rate hike. Falling Treasury yields have weighed on the US dollar. The upcoming employment data could determine the greenback's next move. Short positions opened near 1.1635 can b
  • REX American Resources Corporation Q2 2026 Earnings Call Summary

    REX American Resources Corporation Q2 2026 Earnings Call Summary
    REX American Resources Corporation reported its strongest second-quarter net income per share in company history, supported by disciplined margin management and favorable market conditions. Gross profit excluding tax credits increased 144% year-over-year, primarily reflecting significantly improved crush margins and better pricing across the product portfolio.
    The 45Z production tax credit program contributed $18.4 million to gross profit during the quarter, bringing year-to-date contributions
  • GitLab Inc. Q2 2027 Earnings Call Summary

    GitLab Inc. Q2 2027 Earnings Call Summary
    GitLab achieved its largest gross bookings quarter on record, supported by a 30% increase in sales capacity and a 10% improvement in representative productivity. The company’s strategy of acquiring customers at various price points proved effective, with first-order count expanding more than 100% year-over-year. Management noted that more than half of the company’s $1 billion-plus run rate revenue originated from initial orders valued under $5,000.
    The company introduced a new offer
  • Zscaler stock rises on earnings beat, upbeat guidance

    Zscaler stock rises on earnings beat, upbeat guidance
    Zscaler’s stock rose on Thursday following the cloud security provider’s fiscal fourth-quarter earnings results, which topped analyst expectations amid growing enterprise demand for artificial intelligence-related security solutions.
    The company reported revenue of approximately $719 million, representing a 25% increase from the prior year. Net losses narrowed substantially to $3.4 million, or 2 cents per share, compared to a net loss of $17.6 million, or 11 cents per share, in the
  • Warren Buffett’s Giveaway Plan Implies $17 Billion of Berkshire Stock a Year. Greg Abel Bought Back $4.5 Billion Last Quarter.

    Warren Buffett’s Giveaway Plan Implies $17 Billion of Berkshire Stock a Year. Greg Abel Bought Back $4.5 Billion Last Quarter.
    Warren Buffett announced plans to donate roughly $17 billion per year in Berkshire Hathaway shares to foundations operated by his children. Concurrently, Greg Abel, who assumed the CEO role at the start of 2026, authorized a repurchase of $4.5 billion in company stock during the second quarter.
    Buffett’s charitable giving strategy differs substantially from the company’s historical approach. As both CEO and major shareholder, Buffett had previously declined to implement dividend pay
  • Soybeans Fading Back Lower on Wednesday Morning

    Soybeans Fading Back Lower on Wednesday Morning
    Soybean futures markets experienced a reversal in early trading on Wednesday, with contracts posting losses of 12 to 15 cents. This followed a stronger Tuesday session where nearby and forward contracts had closed with gains ranging from 21 to 29 3/4 cents, accompanied by a notable increase in open interest of 24,979 contracts. The national average cash soybean price had climbed 11 3/4 cents to settle at $12.62 1/4, while soybean meal futures gained $1.80 to close at $7.40 and soy oil strengthe
  • Down 38%, This Cryptocurrency Might Have Finally Hit a Bottom

    Down 38%, This Cryptocurrency Might Have Finally Hit a Bottom
    Bitcoin has experienced significant losses over the preceding 11 months, reaching a decline of more than 50% from its peak valuation during the year before recovering somewhat in August. Despite the recent improvement, the cryptocurrency remained down 38% from its all-time high established in October.
    Several factors contributed to a notable shift in investor outlook in the two weeks prior to this analysis. Legislative developments, particularly momentum surrounding the Digital Asset Market Cla
  • Corn Bulls Taking a Breather on Wednesday Morning

    Corn Bulls Taking a Breather on Wednesday Morning
    Corn futures experienced a pullback during Wednesday morning trading following a strong Tuesday session. Prices declined 7 to 8¼ cents, reversing some of the previous day’s gains when futures had advanced 6 to 8¾ cents across most contracts to reach new highs. Despite the midweek retreat, market activity remained noteworthy, with open interest increasing by 19,874 contracts on Tuesday, suggesting net new buying pressure underlying the market.
    September corn futures closed at
  • Bancorp’s Fintech Comeback Gains Momentum

    Bancorp’s Fintech Comeback Gains Momentum
    The Bancorp, Inc. posted second-quarter diluted earnings per share of $1.45, representing growth from $1.27 in the year-ago quarter and exceeding Wall Street expectations of $1.36. The financial institution operates as a banking-as-a-service sponsor, providing deposit-holding and card-issuing services to fintech applications including Chime, PayPal, and Cash App, allowing these firms to offer banking services without becoming chartered banks themselves.
    The company’s profitability metrics
  • Forex Trading Costs: Fees, Spreads and Commissions

    Forex Trading Costs: Fees, Spreads and Commissions
    Forex trading is a complex process governed by the rules of the global foreign exchange market. To generate consistent profits, traders need to understand what their trading costs consist of. Each forex broker sets its own fees and trading conditions, which directly affect trading results. Beginners should understand that trading currencies is, above all, a business that requires careful cost control.In this article, we will explain what a spread is in trading, what a swap is and how it wor
  • Ethereum (ETH) Price Forecast & Predictions for 2026, 2027, 2028–2030 and Beyond

    Ethereum (ETH) Price Forecast & Predictions for 2026, 2027, 2028–2030 and Beyond
    Ethereum is the world's second-largest cryptocurrency by market capitalization and the leading platform for smart contracts and decentralized applications. Most DeFi, NFT, and Web3 projects are built on Ethereum, making it a key infrastructure asset for the entire industry.This article provides a detailed technical analysis and explores market sentiment, global trends, and historical data. The main question it addresses is whether Ethereum's price will rise in 2026, 2027, and beyond. Expert opin
  • Snowflake spikes 22% on healthy results and AI coding momentum

    Snowflake spikes 22% on healthy results and AI coding momentum
    Snowflake reported financial results that exceeded analyst expectations, with shares rising 22% in after-hours trading on Wednesday. The data analytics software maker demonstrated strong revenue growth of 35% year over year in the fiscal second quarter, which concluded on July 31.
    The company’s net loss narrowed compared to the prior year period, falling to $191.7 million, or 55 cents per share, from $297.9 million, or 89 cents per share. Snowflake highlighted progress with its CoCo artif
  • MongoDB Q2 Earnings Call Highlights

    MongoDB Q2 Earnings Call Highlights
    MongoDB reported fiscal second-quarter 2027 results showing significant momentum across its core offerings. Revenue reached $772 million, representing 30% year-over-year growth, marking the company’s highest quarterly growth rate since fiscal 2024. The company added a record 2,900 net new customers during the period, bringing its total customer base to 70,600. Non-GAAP operating margin expanded to 24%, up from 15% in the comparable prior-year quarter.
    The growth was driven primarily by Mo

Follow @news_analyst on Twitter!