Recent headlines from the sources AlphaScala monitors. AlphaScala analysis is published in the main market section.
A graduate's move from Madrid to NYC highlights a broader talent migration pattern that affects employer hiring costs and regional wage divergence.
U.S. bank regulators testify before Congress on June 4 to advocate for deregulation. The hearing creates a binary risk event for bank stocks. Watch for bipartisan signals and committee markup.
Ethereum holds 50% of the $16.6B tokenized RWA market. BNB Chain doubled to $4B. Tokenized equities surged 2,878%. The key confirmation signals and risks for traders.
The 95B cubic feet injection fell short of 99B consensus. For forex traders, the miss tightens the inflation narrative and supports a higher-for-longer Fed.
Baron Real Estate Fund wins third Lipper award in 2026, signaling consistent risk-adjusted returns across real estate cycles. The next portfolio filing will show if it still favors commodity-linked industrial property.
Russia imposed sanctions on a UK teenager whose research alleged crypto is used to evade sanctions. The move raises personal risk for on-chain analysts and compliance teams.
Zepto's net order value is expected to reach $1B by June quarter, setting the stage for its IPO. The key data point: whether cash burn per order has dropped from Rs200.
The NFP consensus of 85K jobs, 3.4% wages, and 4.3% unemployment sets up a test for the AI displacement narrative. Here is how it transmits through the dollar and yields.
TD Securities says the Bank of Canada will avoid committing to a rate path until the USMCA review is clearer, keeping the loonie exposed to data and trade risk.
Coinbase launches SpaceX pre-IPO perpetual futures for non-U.S. traders, competing with Binance, OKX, and Crypto.com in a widening pre-IPO perps market.
Nifty recovered 0.3% to 23,450 on Tuesday despite weak global cues. Options short covering near 23,400 and rupee stability at 83.80 drove the move. Watch for Thursday's US CPI print to confirm the trend.
Assembly AI, Lovable, and Harvey ditch legacy CS playbooks. Title changes, high-touch moats, and outcome-based metrics drive 2x revenue lift and sub-1% churn. The new investor framework.
Lampin's CMMC 2.0 Level 1 certification meets 15 FAR controls. Early certifiers gain structural advantage as primes steer work to certified vendors to lower SPRS risk.
Wix cuts 1,000 jobs, 20% of staff, in its largest layoff ever. AI tools replace human workflows, not a revenue crisis. Margin expansion or churn spike? Q1 earnings decide.
Russian Deputy Minister Grozdev says Saudi-Russia trade surpassed $4B with Vision 2030 alignment. The sector read-through targets chemicals, mining, UAVs, and healthcare. Next marker is a signed joint venture.
East Pipes hit a lifetime high on Tadawul, testing momentum. Watch volume and price action to confirm whether the breakout is structural or a false signal.
Crude below $90 shifts inflation expectations lower, weakening the dollar and lifting EUR/USD. Watch yields for confirmation.
Nordea predicts four additional ECB hikes. Market pricing implies one to two. The gap could drive EUR/USD higher if the hawkish view spreads. Next decision: ECB guidance.
Coinbase's SpaceX pre-IPO perp offers early exposure to private markets but carries valuation, counterparty, and regulatory risks. Traders face opaque pricing and USDC settlement.
BofA cut BVN's target to $12 from $14 after a Q1 revenue miss. The stock is range-bound until financing for 2026 catalysts is resolved.
Cantor Fitzgerald upgraded TGB to Buy with a $9 price target after Q1 revenue hit $237M. The real test: Florence Copper ramp and Gibraltar 2026 production.
UK fragrance retailer's £2M charity tie-up signals brand-equity strategy; peer retailers should watch cause-marketing ROI as consumer confidence wobbles.
Apex Group provides fund services for Goldman Sachs' tokenized real estate fund on GS DAP, a step toward institutional crypto adoption.
Trump’s Iran talks and Israel-Lebanon ceasefire drive dollar lower; Brent slips below $95. Equity futures fall on Broadcom miss. Alpha Score 53 for EMA, 37 for RBA.
Fed paper using 10 macroeconomic shocks finds no direct household consumption response to interest rates. Implications for rate-sensitive sectors and portfolio positioning.
Snap India MD Pulkit Trivedi says attention will replace impressions as the key ad metric. With 250M MAU and 10x advertiser growth, can the platform convert trial into retention?
India replaces ATF price cap with fixed FoB benchmark of ₹86.32/litre domestic, ₹104.49/litre international. Airlines face ~₹115/litre effective price in Delhi. PSF corpus of ₹10,000 crore buffers OMCs.
Poland's central bank kept rates unchanged, reinforcing rate advantage over ECB. Zloty steady – next test comes with August CPI and NBP September meeting.
BlackRock's crypto funds lost $2.2B (30K BTC, 161K ETH) in ten days. Sustained outflows would break the narrative of locked-in institutional capital.
Deutsche Bank sees the US Dollar Index supported by higher yields and hawkish Fed pricing. Here's how the transmission works and what it means for FX and risk.