• Short-Term Analysis for Oil, Gold, and EURUSD for 03.08.2026

    Short-Term Analysis for Oil, Gold, and EURUSD for 03.08.2026
    Welcome, my fellow traders! I have prepared a price forecast for the USCrude, 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.Gold continues to trade in a short-term downtrend.Major Takeaways USCrude: Oil declined from the boundary of the short-term downtrend at 83.57–82.99. XAUUSD: Gold is moving lower, targeting 3,959. EURUSD: The euro opened today with a gap from Friday's
  • XAU/USD: Elliott Wave Analysis and Forecast for 14.08.26 – 21.08.26

    XAU/USD: Elliott Wave Analysis and Forecast for 14.08.26 – 21.08.26
    Major Takeaways Main scenario: Consider long positions from corrections above 4,170.80 with a target of 4,900.00–5,610.00. A buy signal: the local correction ends and the price settles above 4,170.80. Stop Loss: below 4,100.00, Take Profit: 4,900.00–5,610.00. Alternative scenario: Breakout and consolidation below the level of 4,170.80 will allow the asset to continue declining to the levels of 3,720.00–3,290.55. A sell signal: the level of 4,170.80 is broken to the downside. St
  • WTI Crude Oil: Elliott Wave Analysis and Forecast for 14.08.26 – 21.08.26

    WTI Crude Oil: Elliott Wave Analysis and Forecast for 14.08.26 – 21.08.26
    Major Takeaways Main scenario: Consider long positions from corrections above 73.45 with a target of 105.17–115.50. A buy signal: the price holds above 73.45. Stop Loss: below 72.00, Take Profit: 105.17–115.50. Alternative scenario: Breakout and consolidation below the level of 73.45 will allow the asset to continue declining to the levels of 58.50–50.00. A sell signal: the level of 73.45 is broken to the downside. Stop Loss: above 75.00, Take Profit: 58.50–50.00.Main sce
  • USD/JPY: Elliott Wave Analysis and Forecast for 14.08.26 – 21.08.26

    USD/JPY: Elliott Wave Analysis and Forecast for 14.08.26 – 21.08.26
    Major Takeaways Main scenario: Consider short positions from corrections below the level of 160.52 with a target of 154.60–151.76. A sell signal: the price holds below 160.52. Stop Loss: above 161.10, Take Profit: 154.60–151.76. Alternative scenario: Breakout and consolidation above 160.52 will allow the pair to continue rising to the levels of 163.90–166.50. A buy signal: the level of 160.52 is broken to the upside. Stop Loss: below 159.90, Take Profit: 163.90–166.50.Mai
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  • GBP/USD: Elliott Wave Analysis and Forecast for 14.08.26 – 21.08.26

    GBP/USD: Elliott Wave Analysis and Forecast for 14.08.26 – 21.08.26
    Major Takeaways Main scenario: Consider long positions from corrections above 1.3390 with a target of 1.3870–1.4140. A buy signal: the price holds above 1.3390. Stop Loss: below 1.3345, Take Profit: 1.3870–1.4140. Alternative scenario: Breakout and consolidation below the level of 1.3390 will allow the pair to continue declining to the levels of 1.3140–1.2936. A sell signal: the level of 1.3390 is broken to the downside. Stop Loss: above 1.3435, Take Profit: 1.3140–1.2936
  • Trump Media posts $238 million second-quarter loss as crypto declines

    Trump Media posts $238 million second-quarter loss as crypto declines
    Trump Media & Technology Group disclosed a net loss of more than $238 million for its fiscal second quarter, a significant increase from the nearly $20 million loss recorded in the same period the previous year. The company attributed the substantial loss primarily to non-cash asset declines, with more than $190 million stemming from losses related to digital assets, pledged digital assets, and equity securities.
    The company generated less than $2 million in quarterly revenue, with approxim
  • RxSight (RXST) Q2 2026 Earnings Call Transcript

    RxSight (RXST) Q2 2026 Earnings Call Transcript
    RxSight held its second quarter 2026 earnings conference call on August 5, featuring newly appointed President and Chief Executive Officer Aziz Mottiwala alongside Chief Financial Officer Mark Wilterding. The company reported total revenue of $33.7 million for the three months ended June 30, 2026, which included $6.5 million related to a strategic collaboration with Alcon.
    Excluding Alcon-related revenue, core product sales totaled $27.2 million, representing a 19% decline from the prior year p
  • KORU (KRMD) Q2 2026 Earnings Call Transcript

    KORU (KRMD) Q2 2026 Earnings Call Transcript
    KORU Medical Systems held its second quarter earnings conference call on August 5, addressing financial results for the period ending June 30. President and CEO Adam Kalbermatten reported record quarterly revenues of $12 million, reflecting 18% growth compared to the prior year period. The company’s domestic core revenue reached $8 million, up 12% year-over-year, driven by new patient starts and market share gains in the subcutaneous immunoglobulin market. International core revenue total
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  • JPMorgan says Wall Street’s AI bet is finally paying off

    JPMorgan says Wall Street’s AI bet is finally paying off
    JPMorgan increased its year-end forecast for the S&P 500 to 8,000, up from a prior projection of 7,800, according to reporting by Reuters. The adjustment reflects the bank’s assessment that artificial intelligence capital expenditures by leading technology firms are transitioning from a spending phase into one demonstrating tangible revenue conversion and cash-flow generation.
    The bank simultaneously raised its 2026 earnings-per-share forecast for the S&P 500 to $365 from $350 and
  • How Do ETFs Work? The Complete Beginner’s Guide to Exchange-Traded Funds

    How Do ETFs Work? The Complete Beginner’s Guide to Exchange-Traded Funds
    An ETF, or exchange-traded fund, is an investment vehicle that bundles multiple assets—stocks, bonds, commodities, or combinations thereof—into a single tradable security. When an investor purchases one ETF share, they obtain ownership in a collection of underlying holdings, such as all 500 companies in the S&P 500 index, without needing to buy each security individually.
    ETFs operate through two concurrent mechanisms. On the public exchange, shares trade throughout the trading
  • Honest Company (HNST) Q2 2026 Earnings Call Transcript

    Honest Company (HNST) Q2 2026 Earnings Call Transcript
    The Honest Company held its second quarter 2026 earnings call on August 5, reporting strong operational performance and raising its full-year outlook. The company achieved organic revenue growth of 6.7% on reported revenue of $83.3 million, which reflected a 10.9% decline when including the impact of diaper category headwinds and the strategic wind-down of apparel operations.
    The company’s wipes portfolio delivered particularly robust results, with consumption growth of 26% compared to ca
  • Hyperion Profit More Than Triples to $31M, HYPE Treasury Reaches $133M

    Hyperion Profit More Than Triples to $31M, HYPE Treasury Reaches $133M
    Hyperion DeFi Inc. posted a second consecutive record quarter, with net income reaching $31 million in the second quarter, a significant increase from $8.8 million in the first quarter. The company’s adjusted EBITDA rose to $53.7 million from $19.5 million in the prior period, reflecting broad-based operational improvements.
    The company’s treasury gains provided a substantial boost to results. The value of HYPE token holdings climbed to $132.6 million from $71 million at the end of
  • ANZ says property tax changes hit mortgage demand, posts slightly higher profit

    ANZ says property tax changes hit mortgage demand, posts slightly higher profit
    ANZ Group reported marginally higher quarterly cash profit on Thursday despite indications of declining mortgage demand in Australia’s housing market. The bank’s cash profit grew 1% from the average of the prior two quarters to A$1.90 billion, supported by increased lending volumes and improved margins.
    The lender noted that mortgage application values remained broadly flat compared to the previous quarter, primarily due to participation in a government support scheme launched in la
  • EUR/USD: Elliott Wave Analysis and Forecast for 14.08.26 – 21.08.26

    EUR/USD: Elliott Wave Analysis and Forecast for 14.08.26 – 21.08.26
    Major Takeaways Main scenario: Consider long positions from corrections above 1.1438 with a target of 1.1790–1.2088. A buy signal: the correction ends and the price settles above 1.1438. Stop Loss: below 1.1395, Take Profit: 1.1790–1.2088. Alternative scenario: Breakout and consolidation below the level of 1.1438 will allow the pair to continue declining to the levels of 1.1346–1.1200. A sell signal: the level of 1.1438 is broken to the downside. Stop Loss: above 1.1480, Take P
  • USD/CHF: Elliott Wave Analysis and Forecast for 14.08.26 – 21.08.26

    USD/CHF: Elliott Wave Analysis and Forecast for 14.08.26 – 21.08.26
    Major Takeaways Main scenario: Consider short positions from corrections below the level of 0.8206 with a target of 0.7755–0.7593. A sell signal: the price holds below 0.8206. Stop Loss: above 0.8245, Take Profit: 0.7755–0.7593. Alternative scenario: Breakout and consolidation above 0.8206 will allow the pair to continue rising to the levels of 0.8400–0.8600. A buy signal: the level of 0.8206 is broken to the upside. Stop Loss: below 0.8165, Take Profit: 0.8400–0.8600.Mai
  • Gold Gets Ahead of Itself. Forecast as of 14.08.2026

    Gold Gets Ahead of Itself. Forecast as of 14.08.2026
    Gold rallied to two-month highs ahead of the inflation reports, only to pull back immediately after the data was released. This seemingly paradoxical move raises a question: is XAU/USD getting carried away by its own euphoria? Let's discuss this topic and outline a trading plan.Major Takeaways The odds of a September Fed rate hike have fallen to 32%. A weak labor market has fueled investors' stagflation concerns. UBS and the LBMA expect gold to trade in the $4,500–$5,000 per ounce range. A
  • What Is Dividend Yield? Meaning, Formula, and Examples

    What Is Dividend Yield? Meaning, Formula, and Examples
    Stock investing appeals to millions of people because it offers two ways to earn returns: through capital appreciation and dividend payments. The first requires investors to wait for the right time to sell their shares, while the second can provide a steady stream of investment income over time.However, the dividend amount alone does not show how profitable an investment in a particular company may be. To assess its potential return, you need to compare the dividend with the price you pay for th
  • USD/CAD: Elliott Wave Analysis and Forecast for 14.08.26 – 21.08.26

    USD/CAD: Elliott Wave Analysis and Forecast for 14.08.26 – 21.08.26
    Major Takeaways Main scenario: Consider long positions from corrections above 1.3900 with a target of 1.4250–1.4400. A buy signal: the price holds above 1.3900. Stop Loss: below 1.3860, Take Profit: 1.4250–1.4400. Alternative scenario: Breakout and consolidation below the level of 1.3900 will allow the pair to continue declining to the levels of 1.3820–1.3722. A sell signal: the level of 1.3900 is broken to the downside. Stop Loss: above 1.3940, Take Profit: 1.3820–1.3722
  • Short-Term Analysis for Oil, Gold, and EURUSD for 14.08.2026

    Short-Term Analysis for Oil, Gold, and EURUSD for 14.08.2026
    Welcome, my fellow traders! I have prepared a price forecast for the USCrude, 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.Gold continues to pull back.Major Takeaways USCrude: Oil is rising after testing support A of 79.50–79.10, reaching the first bullish target. XAUUSD: Gold has pierced support A of 4,347–4,336. EURUSD: The euro may exceed last week's high.Oil Pri
  • Dollar Holds Euro Bulls at Bay. Forecast as of 14.08.2026

    Dollar Holds Euro Bulls at Bay. Forecast as of 14.08.2026
    The tailwinds from the stock market rally, falling Treasury yields, and the prospect of Fed rate cuts failed to push EUR/USD quotes significantly higher. The pair rose only modestly following the release of the PPI data. Let's examine the situation and develop a trading plan.Major Takeaways The EUR/USD reacted differently to the CPI and PPI reports. The dollar is becoming increasingly sensitive to oil prices. Brent remains range-bound between $80 and $90 per barrel. The 1.154 level is the line i
  • Short-Term Analysis for BTCUSD, XRPUSD, and ETHUSD for 14.08.2026

    Short-Term Analysis for BTCUSD, XRPUSD, and ETHUSD for 14.08.2026
    Dear readers,I've prepared a short-term forecast for Bitcoin, Ripple, and Ethereum based on Elliott Wave analysis.Major Takeaways BTCUSD: The price is expected to rise in the final part of correction 4. Consider long positions with a Take Profit at 66,931.90. XRPUSD: The asset could rise in corrective wave (4) of the bearish impulse. Consider long positions with a Take Profit at 1.086. ETHUSD: The fifth part of a bullish correction (B) is projected to form. Long positions can be consid
  • ‘Tougher times ahead’: Don’t expect blowout returns to continue, CEO of $2.3 trillion fund warns after record first half

    ‘Tougher times ahead’: Don’t expect blowout returns to continue, CEO of $2.3 trillion fund warns after record first half
    Nicolai Tangen, chief executive of Norges Bank Investment Management, addressed market prospects following his fund’s exceptional performance in the first half of the year. The entity, which manages Norway’s $2.3 trillion oil fund, generated a profit approaching $185 billion during the period, though this outcome emerged from volatile trading conditions.
    The fund’s equity portfolio experienced significant swings, declining 2.6% during the opening quarter before rebounding with
  • NIO Stock Falls as Blackrock Slashes Stake in EV Maker

    NIO Stock Falls as Blackrock Slashes Stake in EV Maker
    Nio stock closed lower on Tuesday following BlackRock’s announcement that it had trimmed its position in the Chinese electric vehicle maker. According to regulatory filings, the world’s largest asset manager sold 1.2 million shares, reducing its overall exposure to the company by roughly 12%. The move came at a time when NIO shares had already declined more than 30% from their year-to-date high.
    BlackRock’s decision to cut its stake represented a significant signal from a majo
  • Intercorp Financial Services Inc. Q2 2026 Earnings Call Summary

    Intercorp Financial Services Inc. Q2 2026 Earnings Call Summary
    Intercorp Financial Services released second-quarter results showing net income of PEN 640 million and a return on equity of 18.5%, both exceeding the company’s midterm performance targets. The results reflected normalization in investment performance and cost of risk metrics following the prior year’s strong quarter.
    The company demonstrated strength in higher-yielding loan segments, which expanded at 12% year-over-year, driven particularly by small business lending growth of 31% a
  • Wheat Rallying on Black Sea Strikes

    Wheat Rallying on Black Sea Strikes
    Wheat futures contracts traded lower on the day across the three primary exchanges. Chicago SRW contracts fell between 7 and 11 cents, while Kansas City HRW futures declined 8 to 15 1/4 cents. Minneapolis spring wheat contracts dropped 10 to 12 3/4 cents. Open interest increased by 15,741 contracts, indicating new selling activity.
    September and December CBOT wheat contracts closed at $6.30 1/4 and $6.48 1/4 respectively, each down roughly 10-11 cents for the session. Kansas City contracts fini
  • US Inflation Holds at 3.4%: Will Bitcoin Dodge a September Fed Hike?

    US Inflation Holds at 3.4%: Will Bitcoin Dodge a September Fed Hike?
    The Bureau of Labor Statistics released inflation data showing headline prices held steady at 3.4% annually in July, while core inflation—excluding food and energy—cooled to 2.5% from the prior month’s 2.6%. Month-over-month, headline prices rose 0.1%, reversing a steeper 0.4% decline recorded in June that reflected falling energy costs. Core prices increased 0.2% on the monthly basis. Both the headline and core annual figures matched market expectations ahead of the release.
  • Meren Energy raises 2026 guidance after strong first-half performance

    Meren Energy raises 2026 guidance after strong first-half performance
    Meren Energy Inc reported elevated financial guidance for the full year following strong results in the first half of 2026. The company increased its full-year EBITDAX guidance midpoint to $410 million, up from a previous midpoint of $315 million. Additionally, Meren raised its cash flow from operations midpoint to $247.5 million from $220 million.
    First-half results showed $219.5 million in EBITDAX and $139.4 million in cash flow from operations before working capital adjustments. Second quart
  • Corn Popping Higher on Wednesday with Spillover from Wheat

    Corn Popping Higher on Wednesday with Spillover from Wheat
    Corn prices moved higher on Wednesday morning, with gains of 3 to 4 cents attributed largely to strength in wheat markets providing underlying support for the grain complex. Open interest fell by 17,119 contracts, predominantly reflecting the ongoing transition out of the nearby September futures contract as traders repositioned for future months.
    The previous session had seen marginal weakness across corn futures, with losses ranging from 1 to 2 cents. The CmdtyView national average cash corn
  • Fox advertising, streaming service Tubi get boost from World Cup

    Fox advertising, streaming service Tubi get boost from World Cup
    Fox Corp. posted strong financial results for its fiscal fourth quarter and full year, with the FIFA World Cup tournament serving as a major revenue driver. Overall revenue reached $4.21 billion, representing a 28% increase year-over-year. Advertising revenue experienced particularly robust growth, climbing 78% to $1.92 billion, with the World Cup and performance of the Tubi streaming platform cited as primary contributors to the gain.
    The World Cup broadcast and streaming operations attracted
  • Wendy’s stock jumps on report of potential takeover bid from Nelson Peltz’s Trian Fund Management

    Wendy’s stock jumps on report of potential takeover bid from Nelson Peltz’s Trian Fund Management
    Wendy’s shares jumped significantly following a Financial Times report indicating that Trian Fund Management, led by activist investor Nelson Peltz, is developing a proposal to acquire the burger chain. The stock climb prompted a temporary trading halt due to volatility. Trian is reportedly collaborating with multiple investors on the proposal, including BlueFive Capital and the Flynn Group, which operates a substantial Wendy’s franchise portfolio.
    Wendy’s responded to the tak

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