
CAC 40 PREOPEN: 8,110 points (+0.41%) Today's key stocks Sanofi (SAN): The pharmaceutical group expects EPS growth in 2026 to slightly outpace sales growth. Confirms strategy to ramp up operations. STMicroelectronics (STM): Forecasts year-over-year revenue growth in Q1 2026. A reassuring outlook after a lackluster 2025. Eurofins (ERF): Annual revenue
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Wall Street Mixed, but New Highs for the S&P 500 and Nasdaq US markets closed mixed on Tuesday. The S&P 500 hit a new all-time high, rising +0.4%, while the Nasdaq Composite gained +0.9%. In contrast, the Dow Jones fell -0.8%. Futures are up this morning, fueled by anticipation of
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PREOPEN CAC 40: 8,132 pts (-0.27%) A slight drop is expected at the open for the Paris index, following mixed earnings reports and a technical pullback after several bullish sessions. LVMH disappoints, but Ipsen and several biotech midcaps attract attention. A busy day for earnings publications. Key stocks of the
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With the January 30 shutdown deadline looming, a historic split between metals and crypto is reshaping the market. We break down the capital rotation and immediate risks as traders brace for a federal deadlock. See how the cross-asset shift could potentially impact your portfolio volatility.
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PREOPEN CAC 40: 8,146 pts (+0.15%) Key stocks of the day Airbus (AIR): The group posts a strong record with 536 net orders and 392 helicopter deliveries in 2025. A positive signal for the aerospace sector. Ubisoft (UBI): Considering cutting up to 200 jobs at its headquarters in France as
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Monday, January 26, 2026 The week kicks off at full speed. With historic records in precious metals, a crucial Fed meeting, and a flood of corporate earnings, volatility is back. Here’s what you need to know to start your trading week with clarity. 1. Star Asset: Gold Breaks the Glass
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What to Know Before Wall Street Opens US markets start the week in uncertainty amid growing political risk: high probability of a shutdown, new trade tensions, and a flood of dense macro and corporate news. Yet, index futures remain relatively stable. US Indices (Futures) Dow Jones: UNCH S&P 500: -0.06%
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Monday, January 26 — Nucor and the Health of Heavy Industry in the Spotlight ** Micro:** Earnings: Nucor (NUE), Crane (CR), Brown & Brown (BRO) IPO Watch: Public offerings of Picpay (PICS) and Ethos Technologies (LIFE) Investor Day: Hecla Mining (HL) in NYC Ex-dividends: Clorox, Paychex, Costco, Morgan Stanley **
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Market Trends US equity futures are moving in mixed fashion this Friday, ending a week marked by high volatility and mixed earnings releases: S&P 500: +0.03% Dow Jones: -0.14% Nasdaq 100: -0.03% In the bond market, yields are declining: US 10-year: 4.24% (-1 bp) US 30-year: 4.83% (-12 bp) The
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