• Here's How A Pacifist Celebrates Memorial Day

    Here's How A Pacifist Celebrates Memorial Day
    Do you have great respect for people who sacrificed greatly through their service or in defending their country and ideals, but disagree with much of the rhetoric for wars we fight or that we should fight them.
  • Dogecoin (DGEUSD) Price Forecast & Predictions for 2026, 2027, 2028–2030 and Beyond

    Dogecoin (DGEUSD) Price Forecast & Predictions for 2026, 2027, 2028–2030 and Beyond
    Few cryptocurrencies have a wilder origin story than Dogecoin. What kicked off in 2013 as a tongue-in-cheek tribute to a viral Shiba Inu meme somehow grew into one of the most recognizable digital assets in the world.The DGEUSD pair has swung from fractions of a cent to dizzying highs, buoyed by Elon Musk's viral posts and the fierce loyalty of its community. Today, investors are no longer concerned with the coin's origins. The real question is whether this meme-born altcoin can hold its ground
  • How the Zig Zag Indicator Works in Trading

    How the Zig Zag Indicator Works in Trading
    ZigZag is a technical indicator that links major swing highs and lows on a chart with straight lines. It highlights major reversals and corrections, filters out market noise, and helps you focus on the most significant price movements.ZigZag is also useful for spotting support and resistance levels. This article covers the signals it produces, how to incorporate it into a trading strategy, and its main strengths and weaknesses.Major Takeaways The ZigZag indicator is a built-in tool on most tradi
  • Mattel names Roger Lynch as CEO, replacing Ynon Kreiz

    Mattel names Roger Lynch as CEO, replacing Ynon Kreiz
    Mattel announced the appointment of Roger Lynch as chief executive officer and chairman on Wednesday. Lynch, who has served on Mattel’s board since 2018, will assume the chairman role effective October 2 and transition into the CEO position by November 2.
    Lynch is presently the chief executive of Condé Nast, a media and publishing company where he has held the top position since 2019. Upon his departure, Mike Perlis will serve as interim CEO at Condé Nast while the organizat
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  • Yen Caught Between BoJ Caution and Shifting Carry Trade. Forecast as of 06.10.2026

    Yen Caught Between BoJ Caution and Shifting Carry Trade. Forecast as of 06.10.2026
    The wide yield spread between the US and Japan, driven by the Fed and the Bank of Japan moving at the same pace, is pushing the USD/JPY higher. However, the pair isn’t rising as quickly as it otherwise might, thanks to an unexpected ally for the yen: the euro. Let’s analyze this situation and develop a trading plan.Major Takeaways The Bank of Japan is in no hurry to raise interest rates. Speculators are closing their long positions on the yen. The euro is being used as a funding curr
  • Short-Term Analysis for BTCUSD, XRPUSD, and ETHUSD for 06.10.2026

    Short-Term Analysis for BTCUSD, XRPUSD, and ETHUSD for 06.10.2026
    Dear readers,I've prepared a short-term forecast for Bitcoin, Ripple, and Ethereum based on Elliott Wave analysis.Hold long positions open.Major Takeaways BTCUSD: The price continues to rise in a bullish correction (B). Consider long positions with a Take Profit at 88,096.74. XRPUSD: The asset continues to rise in impulse [C] of 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
  • Short-Term Analysis for Oil, Gold, and EURUSD for 06.10.2026

    Short-Term Analysis for Oil, Gold, and EURUSD for 06.10.2026
    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 have identified entry signals for intraday traders.Gold reached its second sell target today.Major Takeaways USCrude: Oil may break below the Target Zone of 88.79–87.46. XAUUSD: Gold has reached the second sell target at 4,110. EURUSD: The euro is correcting higher.Oil Price Forecast for Today: U
  • US Dollar Gains as Capital Flees Europe. Forecast as of 06.10.2026

    US Dollar Gains as Capital Flees Europe. Forecast as of 06.10.2026
    A prime spot never stays empty. If investors are losing confidence in France and Europe as a whole, why not move their capital into US markets? US bonds offer attractive yields while default risks remain relatively low. Let's explore this shift in capital flows and develop a trading plan for the EUR/USD.Major Takeaways The cost of insurance against a French default is rising. The risk of a recession in the US economy is declining. The dollar is benefiting from capital inflows. Short positions ca
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  • General Motors Q3 sales drop 5.5%, while Toyota buoyed by EVs, hybrids

    General Motors Q3 sales drop 5.5%, while Toyota buoyed by EVs, hybrids
    General Motors announced a year-over-year sales decrease of 5.5% during the third quarter, with 670,974 new vehicles sold. The decline was driven primarily by a significant pullback in electric vehicle demand across the automaker’s lineup, as consumer enthusiasm for EVs diminished following the end of federal purchase incentives. GM’s Equinox EV experienced the steepest drop at 92.4%, while the Blazer EV fell 84.4% and Hummer EV sales declined 72.9% compared to the prior year, when
  • Lucid’s Q3 deliveries fall 6.7% as EV maker cuts production to align with demand

    Lucid’s Q3 deliveries fall 6.7% as EV maker cuts production to align with demand
    Lucid Group announced third quarter vehicle deliveries of 3,806 units, representing a 6.7% decline compared to the same period a year earlier, when the company delivered 4,078 vehicles. Production during the three-month period ended in September totaled 2,954 units, down from 3,891 vehicles in the prior-year quarter.
    Despite the sequential decline, the company’s year-to-date performance showed strength relative to the prior year, with third quarter deliveries running 3.4% ahead of the com
  • Swiss Franc Gains Ground as French Debt Concerns Intensify. Forecast as of 05.10.2026

    Swiss Franc Gains Ground as French Debt Concerns Intensify. Forecast as of 05.10.2026
    The euro's misfortune has turned into a stroke of luck for the Swiss franc. As concerns over French debt intensify, investors are increasingly turning to the currency with the world's lowest interest rate as a safe haven. Let's examine this situation and develop a trading plan for the EUR/CHF.Major Takeaways Capital outflows from French assets are supporting the Swiss franc. Concerns over France's fiscal outlook are putting downward pressure on the EUR/CHF. Changing market expectations for Fed a
  • Short-Term Analysis for BTCUSD, XRPUSD, and ETHUSD for 05.10.2026

    Short-Term Analysis for BTCUSD, XRPUSD, and ETHUSD for 05.10.2026
    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 88,096.74. XRPUSD: The asset continues to rise in impulse [C] of 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 2,859.38.Elliott Wave An
  • Short-Term Analysis for Oil, Gold, and EURUSD for 05.10.2026

    Short-Term Analysis for Oil, Gold, and EURUSD for 05.10.2026
    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 have identified entry signals for intraday traders.The euro drops to a 17-month low.Major Takeaways USCrude: Oil is testing the Target Zone of 88.79–87.46. XAUUSD: Gold is approaching the second bearish target near 4,110. EURUSD: The euro has pierced the Gold Zone of 1.1207–1.1199.Oil
  • Euro Plunges as French Debt Crisis Fuels Contagion Fears. Forecast as of 05.10.2026

    Euro Plunges as French Debt Crisis Fuels Contagion Fears. Forecast as of 05.10.2026
    France is Europe's largest borrower, with non-resident investors holding more than 55% of its total government debt. Their retreat from the French bond market is widening yield spreads relative to German Bunds and could increase the risk of a credit-rating downgrade. Let's assess the situation and develop a trading plan for the EUR/USD pair.Major Takeaways France faces a growing risk of a credit-rating downgrade. The US labor market remains stronger than the headline figures suggest. The US doll
  • Hudson Technologies (HDSN) Signs Icorium Deal. Can Better Refrigerant Recycling Lift Margins?

    Hudson Technologies (HDSN) Signs Icorium Deal. Can Better Refrigerant Recycling Lift Margins?
    Hudson Technologies announced a joint development agreement with Icorium to advance patented extractive distillation technology for refrigerant separation. The partnership grants access to intellectual property, dedicated engineering resources, and exclusivity rights during the initial commercialization phase, with the objective of recovering greater quantities of usable refrigerant from complex mixtures.
    The company faces margin pressures that the technology could potentially address. In the s
  • MGM CEO leaves door open to People Inc. bid as casino dealmaking heats up

    MGM CEO leaves door open to People Inc. bid as casino dealmaking heats up
    MGM Resorts International CEO Bill Hornbuckle signaled openness to acquiring People Inc., the investment and publishing company controlled by Barry Diller, during remarks at the Global Gaming Expo. Hornbuckle stated that MGM would continue evaluating opportunities aligned with shareholder interests and focused on unlocking value at a company he characterized as significantly undervalued. He cited MGM’s diverse asset portfolio, including its BetMGM sports betting operation, casino properti
  • Interparfums (IPAR) Extends Cavalli Fragrance Deal Through 2046. Can it Boost Profits?

    Interparfums (IPAR) Extends Cavalli Fragrance Deal Through 2046. Can it Boost Profits?
    Interparfums, Inc. and Marquee Brands announced on September 17 that their exclusive worldwide fragrance license covering Roberto Cavalli and Just Cavalli has been extended through December 31, 2046. The agreement encompasses fragrance creation, development, and distribution activities conducted through the company’s wholly owned subsidiary, Interparfums Italia Srl.
    Management characterized Cavalli as one of its fastest-growing portfolio brands, noting that the Serpentine fragrance launch
  • Mattel shares rise after reports of takeover interest from Authentic Brands Group

    Mattel shares rise after reports of takeover interest from Authentic Brands Group
    Mattel’s stock climbed sharply on Thursday following reports that Authentic Brands Group, a brand licensing company, had privately discussed acquiring the toymaker. According to the Wall Street Journal, the proposed transaction could value Mattel at more than $20 per share, representing approximately $6 billion in total value. At the time of the report, Mattel’s shares were trading just above $15 per share.
    A source familiar with the discussions confirmed to CNBC that preliminary ta
  • Stellantis CEO reconfirms 2026 guidance, says turnaround plan continues as automaker’s shares hit new low

    Stellantis CEO reconfirms 2026 guidance, says turnaround plan continues as automaker’s shares hit new low
    Stellantis CEO Antonio Filosa reaffirmed the automaker’s financial targets for the current year during remarks made in Detroit, stating the company remains committed to achieving a mid-single-digit percentage increase in net revenue alongside a low-single-digit adjusted operating margin.
    The executive also reconfirmed longer-term objectives, including positive cash flow generation by the following year and free cash flow exceeding 3 billion euros in 2028. These targets come as the company
  • Nike shares drop as retailer posts disappointing sales, announces layoffs as part of restructuring

    Nike shares drop as retailer posts disappointing sales, announces layoffs as part of restructuring
    Nike released mixed results for its fiscal first quarter on Thursday, with the company posting net income of $712 million, a 2% decline from $727 million in the prior year period. Revenue decreased 4% to $11.21 billion, falling short of expectations as the company faced significant headwinds in key markets.
    The performance business recorded its largest decline in the Greater China region, where Nike brand revenues dropped 26%. Chief Executive Elliott Hill acknowledged the urgency of addressing
  • May Mobility’s SPAC Merger: Is This a Road to Nowhere for Investors?

    May Mobility’s SPAC Merger: Is This a Road to Nowhere for Investors?
    May Mobility announced plans to become a publicly traded company through a merger with ACP Holdings Acquisition, a special purpose acquisition company trading on Nasdaq under the ticker ACGC. The transaction would value the combined entity at roughly $1.4 billion, with operations to continue under the May Mobility name and listing under MAY on the Nasdaq exchange.
    The autonomous ride-hailing sector represents a significant market opportunity. Analysts project the global robotaxi market could re
  • How Is Incyte’s Stock Performance Compared to Other Biotech Stocks?

    How Is Incyte’s Stock Performance Compared to Other Biotech Stocks?
    Incyte Corporation, a Wilmington-based biopharmaceutical company, has demonstrated solid stock performance relative to the broader biotech sector in recent trading periods. The company discovers, develops, and commercializes treatments for cancer, blood disorders, and immune-mediated diseases, with marketed therapies including JAKAFI for blood cancer, ICLUSIG for leukemia, PEMAZYRE for bile-duct cancer, MONJUVI/MINJUVI for lymphoma, and NIKTIMVO for fibrotic disease. The company’s market
  • Goldman Leads Bidding for $37 Billion Palmer Square, a CLO Powerhouse

    Goldman Leads Bidding for $37 Billion Palmer Square, a CLO Powerhouse
    Goldman Sachs has emerged as the leading bidder in talks to acquire Palmer Square Capital Management, a collateralized loan obligation specialist based in Kansas that manages $37 billion in assets, Bloomberg reported. While the transaction remains uncertain, the pursuit reflects Goldman’s strategic push to strengthen its position in alternative credit markets and compete more directly with established alternative asset managers.
    Collateralized loan obligations are investment vehicles comp
  • XAU/USD: Elliott Wave Analysis and Forecast for 02.10.26–09.10.26

    XAU/USD: Elliott Wave Analysis and Forecast for 02.10.26–09.10.26
    Major Takeaways Main scenario: Consider long positions from corrections above 4,098.40 with a target of 4,900.00–5,610.00. A buy signal: the price holds above 4,098.40. Stop Loss: below 4,030.00, Take Profit: 4,900.00–5,610.00. Alternative scenario: Breakout and consolidation below 4,098.40 will allow the asset to continue declining to the levels of 3,720.00–3,290.62. A sell signal: the level of 4,098.40 is broken to the downside. Stop Loss: above 4,165.00, Take Profit: 3,720.0
  • WTI Crude Oil: Elliott Wave Analysis and Forecast for 02.10.26–09.10.26

    WTI Crude Oil: Elliott Wave Analysis and Forecast for 02.10.26–09.10.26
    Major Takeaways Main scenario: Consider long positions from corrections above 87.70 with a target of 105.17–115.50. A buy signal: the price holds above 87.70. Stop Loss: below 86.20, Take Profit: 105.17–115.50. Alternative scenario: Breakout and consolidation below 87.70 will allow the asset to continue declining to the levels of 79.25–67.00. A sell signal: the level of 87.70 is broken to the downside. Stop Loss: above 89.20, Take Profit: 79.25–67.00.Main ScenarioConsider
  • USD/JPY: Elliott Wave Analysis and Forecast for 02.10.26–09.10.26

    USD/JPY: Elliott Wave Analysis and Forecast for 02.10.26–09.10.26
    Major Takeaways Main scenario: Consider short positions from corrections below the level of 159.00 with a target of 151.76–148.92. A sell signal: the price holds below 159.00. Stop Loss: above 159.60, Take Profit: 151.76–148.92. Alternative scenario: Breakout and consolidation above the level of 159.00 will allow the pair to continue rising to the levels of 163.90–167.50. A buy signal: the level of 159.00 is broken to the upside. Stop Loss: below 158.40, Take Profit: 163.90&nda
  • GBP/USD: Elliott Wave Analysis and Forecast for 02.10.26–09.10.26

    GBP/USD: Elliott Wave Analysis and Forecast for 02.10.26–09.10.26
    Major Takeaways Main scenario: Consider short positions from corrections below the level of 1.3308 with a target of 1.2938–1.2745. A sell signal: the price holds below 1.3308. Stop Loss: above 1.3355, Take Profit: 1.2938–1.2745. Alternative scenario: Breakout and consolidation above the level of 1.3308 will allow the pair to continue rising to the levels of 1.3560–1.3675. A buy signal: the level of 1.3308 is broken to the upside. Stop Loss: below 1.3265, Take Profit: 1.3560&nda
  • General Motor Q3 sales drop 5.5%, while Toyota buoyed by EVs, hybrids

    General Motor Q3 sales drop 5.5%, while Toyota buoyed by EVs, hybrids
    General Motors posted third-quarter sales of 670,974 vehicles, reflecting a 5.5% decline from the prior year period. The Detroit automaker’s electric vehicle segment experienced significant headwinds, with the Equinox EV dropping 92.4%, the Blazer EV falling 84.4%, and Hummer EV sales declining 72.9%. The weakness in EV demand followed a surge the prior year when consumers purchased electric vehicles ahead of the expiration of federal tax incentives worth up to $7,500.
    Toyota Motor demons
  • EUR/USD: Elliott Wave Analysis and Forecast for 02.10.26–09.10.26

    EUR/USD: Elliott Wave Analysis and Forecast for 02.10.26–09.10.26
    Major Takeaways Main scenario: Consider short positions from corrections below the level of 1.1378 with a target of 1.1120–1.0895. A sell signal: the local correction ends and the price holds below 1.1378. Stop Loss: above 1.1425, Take Profit: 1.1120–1.0895. Alternative scenario: Breakout and consolidation above the level of 1.1378 will allow the pair to continue rising to the levels of 1.1566–1.1790. A buy signal: the level of 1.1378 is broken to the upside. Stop Loss: below 1
  • USD/CHF: Elliott Wave Analysis and Forecast for 02.10.26–09.10.26

    USD/CHF: Elliott Wave Analysis and Forecast for 02.10.26–09.10.26
    Major Takeaways Main scenario: Consider short positions from corrections below the level of 0.8400 with a target of 0.7950–0.7755. A sell signal: the price holds below 0.8400. Stop Loss: above 0.8440, Take Profit: 0.7950–0.7755. Alternative scenario: Breakout and consolidation above the level of 0.8400 will allow the pair to continue rising to the levels of 0.8588–0.8750. A buy signal: the level of 0.8400 is broken to the upside. Stop Loss: below 0.8360, Take Profit: 0.8588&nda

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