This episode of Functions for the Market covers a group of stocks that doubled in both 2023 and 2024, while demonstrating how to use EQS to filter companies based on specific criteria, like momentum.
Over 75% of senior finance leaders in the US and UK saw losses from unhedged currency exposures last year, leading firms to increase options usage and extend foreign exchange hedge durations.
Steve Brice, Global Chief Investment Officer of Standard Chartered Bank, joins John Lee and Katia Dmitrieva on the Asia Centric podcast, discussing why he believes the “US exceptionalism” trade is here to stay – at least for now.
Fourth-quarter earnings are on pace to significantly exceed earnings estimates across capitalizations, but it hasn’t been enough to satisfy investors as stocks are responding with unusually sour returns.
In this edition of Data Spotlight, we focus on using industry-specific data for sector analysis and how supply chain data helps understand the impact of regions on operational risk.
Canada and Mexico are the leading exporters of steel to the US, but most of their products likely can be readily produced in the US, Bloomberg Intelligence analysis shows.