KeyCorp Raises FY2026 Sales Guidance From $8.039B-$8.114B to $8.114B Vs $8.073B Est
KeyCorp (NYSE:KEY) raises FY2026 sales outlook from $8.039 billion-$8.114 billion to $8.114 billion vs $8.073 billion estimate.
US Regulators Look to Create Framework for Risks Associated With Banks' Third-party Ties
Bessent: U.S. to Sanction 'Large Bank' Next Week to Pressure Iran
Live On CNBC, Josh Brown Announces Sold Marriott International; Citizens Financial Group
Live On CNBC, Josh Brown Announces Sold Marriott International; Citizens Financial
U.S. Bank Announces Live Pilot Cross-Border Payment Between Its North America And Europe Entities Using USBDC Dollar-Backed Stablecoin On Stellar Blockchain
U.S. Bank Announces Live Pilot Cross-Border Payment Between Its North America And Europe Entities Using USBDC Dollar-Backed Stablecoin On Stellar
Morgan Stanley Maintains Equal-Weight on Regions Financial, Raises Price Target to $36
Morgan Stanley analyst Betsy Graseck maintains Regions Financial (NYSE:RF) with a Equal-Weight and raises the price target from $35 to $36.
Falling NFIB Optimism Signals Strain In U.S. Small Business
If You Invested $100 In First Citizens BancShares Stock 15 Years Ago, You Would Have This Much Today
First Citizens BancShares (NASDAQ:FCNCA) has outperformed the market over the past 15 years by 6.06% on an annualized basis producing an average annual return of 19.4%. Currently, First Citizens
Stock Futures Largely Flat as Investors Focus on Key Labor Report
6 Financials Stocks Whale Activity In Today's Session
This whale alert can help traders discover the next big trading opportunities.Whales are entities with large sums of money and we track their transactions here at Benzinga on our options activity
Most and Least Quant-rated Large-cap Financial Stocks Post-earnigns
Stock Index Futures Lower as Middle East Tensions Flare
If You Invested $1000 In First Citizens BancShares Stock 10 Years Ago, You Would Have This Much Today
First Citizens BancShares (NASDAQ:FCNCA) has outperformed the market over the past 10 years by 9.17% on an annualized basis producing an average annual return of 22.64%. Currently, First Citizens
Fundstrat ETFs Add INTC, MU; Exit META, AVGO in Quarterly Rebalance
“Trending Research Firm” Citrini: A new agreement between the U.S. Treasury and the Federal Reserve will be reached, igniting the U.S. Treasury bond market in a few months
A quietly coordinated policy maneuver between the U.S. Treasury and the Federal Reserve is viewed as a potential catalyst for the rally in 30-year U.S. Treasuries. Citrini Research’s latest report points out that the confluence of Bessent’s "Treasury twist operation," the Fed’s balance sheet runoff, and bank balance sheet expansion will systematically compress the supply of long-term U.S. Treasuries, thereby pushing down long-end yields. Federal Reserve Chair Walsh’s speech at Jackson Hole this week could serve as a key signal.
Citrini Research Bets on a 'Treasury Twist': Why the 30-Year Bond Could Rally
The U.S. Treasury market may be approaching a strange turning point. A week ago, the Treasury Department said it would at least double its long-end buyback operations to a minimum of $4 billion each.
Stock Futures Mixed as Investors Await Nvidia Earnings, Economic Data
CITIC Research: Reassessing the Value of Large Banks from a Global Perspective
Since 2020, global Global Systemically Important Banks (G-SIBs) have demonstrated robust performance in capital markets. A breakdown reveals that enhanced profitability and increased share buybacks and dividends have been the primary drivers of the strong returns delivered by G-SIBs over the past decade. The return drivers for G-SIBs vary across regions: U.S. banks rely on profits and buybacks; European banks on dividends and cyclical reversal; Japanese banks on revaluation driven by interest rate normalization; while Chinese banks exhibit prominent dividend characteristics. Looking ahead, large domestic banks in China are entering a stage of high-quality development, with continuous optimization of their balance sheet expansion, profitability, capital management, and shareholder return models, offering substantial investment value.
Viking Global Shifts Gears: Andreas Halvorsen Makes $817 Million Bet on Ferrari, Slashes Tesla Stake by 78% in Q2
Hedge fund giant Viking Global Investors, managed by billionaire Andreas Halvorsen, reallocated its equity portfolio in the second quarter. In a clear strategic move, the firm shifted gears in the
Cantor Fitzgerald Maintains Overweight on M&T Bank, Raises Price Target to $285
Cantor Fitzgerald analyst Dave Rochester maintains M&T Bank (NYSE:MTB) with a Overweight and raises the price target from $262 to $285.