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The U.S. housing market is showing multiple warning signs of stress that could impact property values. Rising mortgage delinquencies, decreased buyer demand, and swelling inventory are creating ...
To measure market risk, investors and analysts often use the value-at-risk (VaR) method. VaR modeling is a statistical risk management method that quantifies a stock’s or portfolio’s potential ...
At one point in March, management VAR for equity risk – calculated with a one-day horizon and a 95% confidence level – touched $138 million, the hottest reading since Q1 2009, when the metric hit $156 ...
See how XRP’s price prediction strengthens and AAVE’s surge builds momentum, while Web3 ai, still under $0.001, could be the ...
As sport transforms into a dynamic and lucrative asset class, financial prospects are enticing, but the escalating climate ...
Explore why investors are shifting to municipal bonds amid a deteriorating credit cycle. Discover Nuveen's strategy ...
Baylac NORTHAMPTON, MA / ACCESS Newswire / May 27, 2025 / Extreme weather events are becoming more frequent, intense, and ...
As monetary institutions rely greatly on economic and financial models for a wide array of applications, model validation has become progressively inventive within the field of risk. The Journal of ...
Rising government debt. Exploding budget deficits. They have bond AND stock markets spooked. With rates on the rise, how can ...
Market participants are being more selective as crypto enters a focused growth phase. Monero (XMR) appears to be pulling back ...
Pi Coin and Cardano are gaining attention again as traders look at short-term patterns for quick moves. The Pi chart is ...
Over my forty years or so in and around dealing rooms and financial markets, I have heard many theories as to how to approach that problem and have settled on a process that has worked for me ...