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الموجز اليومي · 4 سبتمبر 2026 Analysis of Bitcoin market analysis, cryptocurrency market trends showing bearish sentiment.
مرصد الأدلة الرائجة نشط
ملاحظات عالية الثقة من الذكاء الاصطناعي مع سياق المصدر وتتبّع النتائج المُقيَّمة
European Stocks Muted Before US Data; VW Soars on Restructuring
The muted European market action reflects a wait-and-see stance pending US macroeconomic data that could influence global risk …
Sharp Price Swings Prompt SEBI Review of India’s Closing Auction
This regulatory review directly impacts the Indian equity derivatives market, potentially altering trading strategies and risk management for …
نتائج البحث عن "VOLATILITY" (240 مقالات)
The Dow Jones and Nasdaq 100 indices fell below their 50-day moving averages, while oil prices increased.
Unitree Robotics' shares declined 50% from their intraday peak on Shanghai’s Star Board, representing one of the steepest drops for a new listing.
Jim Cramer highlights three factors—oil prices, a hawkish Federal Reserve stance, and geopolitical tensions from Iran strikes—creating volatility across Wall Street and Bitcoin.
European natural gas futures reached their highest level since January 2023 following U.S.
The article highlights a wealth manager's claim that historical S&P 500 data shows a 685% average return 20 years after the start of a war, suggesting long-term market resilience despite short-term volatility from geopolitical conflicts like the U.S.-Iran escalation.
The article highlights rising near-term market uncertainty due to unclear Federal Reserve policy, inflation risks, and geopolitical tensions, suggesting volatility ETFs as a hedge against downside risks.
President Trump is convening a White House meeting with US refiners on Tuesday to address rising fuel prices driven by geopolitical tensions with Iran, which are contributing to high living costs and political pressure ahead of midterm elections.
A bond selloff drove US yields to 2008 highs amid rising oil prices from attacks on supertankers in the Strait of Hormuz, fueling inflation concerns and expectations of higher central bank rates.
A global bond selloff has extended to emerging markets, driven primarily by the prospect of a Federal Reserve interest-rate hike this month.
China's policy to stabilize the yuan is reducing volatility in offshore currency derivatives, particularly yuan options trades, which are at a decade low.
FRD is benefiting from record sales volumes, stronger pricing and Century Metals gains, but steel price volatility and demand cyclicality …
Chinese dividend‑paying stocks have reached their strongest level since 2015, while heightened volatility in Chinese technology shares has prompted investors to shift toward more defensive, dividend‑focused bets.
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