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  1. Green Mountain Coffee Chairman Stiller steps aside
  2. MercadoLibre Q1 earnings, sales rise vs year ago
  3. Stock volume surges; Nasdaq at highest of year
  4. Japan stocks open lower, with techs, energy among weak spots; Nikkei Average down 0.8
  5. Longtime Republican Sen. Richard Lugar loses primary
  6. Glaxo goes hostile with offer for Human Genome
  7. Teva 1st-quarter net up 13%, revenue up 25%
  8. ING Groep 1st-quarter net off 51%
  9. China's Proview loses U.S. case over iPad name
  10. Hong Kong stocks down in midday trade
  11. Japan stocks open lower, as yen hits techs, cars
  12. Australian shares decline as miners slide
  13. Longtime Republican Sen. Lugar loses primary
  14. Toyota to move hybrid lines to U.S., China: report
  15. June gold futures down $20 to $1,584.50 as global stocks fall, dollar rises
  16. Macy's first-quarter profit tops estimates
  17. Hilltop up on plan to buy PlainsCapital
  18. Maidenform profit falls, Donna Karan unit sales up
  19. Portugal drops 4 public holidays in austerity move
  20. TransCanada OK's Keystone system terminal
  21. Dollar Thrifty 1st-quarter net doubled; revenue up
  22. Spain 10-year bond yield rises above 6%
  23. Spain's IBEX index off 2.4%; banks slump
  24. European stocks slightly higher, SAP, HSBC lead
  25. Activist Yahoo investor Loeb pushes for interim CEO
  26. Dow industrials off 112 points as U.S. stocks decline at Wednesday open
  27. Dow Jones industrials futures down 100 points as Wall Street braces for broadly lower
  28. Bed Bath & Beyond to acquire home-furnishings retailer Cost Plus at 22% premium
  29. Macy's shares off 5% in premarket as retailer posts results, affirms full-year profit
  30. SEC charges ex-Detroit mayor, treasurer
  31. Four arrested at Bank of America protest
  32. Dynavax tumbles 24% on stock offer pricing
  33. U.S. gambling revenue rose 3% to $35.64B in 2011
  34. Brazilian stocks hurt by inflation, Europe worries
  35. Orangutans now using iPads at Miami zoo
  36. Canada stocks fall as energy issues weigh
  37. Green Mtn.'s Stiller dumps Krispy Kreme stake
  38. Savient falls 10% on earnings report
  39. Bomb scare grounds two Southwest flights
  40. Oil trims losses after EIA supplies report
  41. Euro zone may delay Greek bailout payment-report
  42. Loeb reaffirms call for new Yahoo CEO
  43. Russian jet disappears mid-flight in Indonesia
  44. Take-Two falls as 'Bioshock Infinite' delayed
  45. U.S. wholesale inventories rise 0.3% in March
  46. SodaStream shares surge on 2012 outlook
  47. Dean Foods tops S&P 500 gainers on solid quarter
  48. Kocherlakota backs current Fed long-term framework
  49. Macy's drops on outlook; Cost Plus jumps on deal
  50. Spain readying to nationalize Bankia: report
  51. Tech stocks slip, but AOL, Demand Media rise
  52. U.S. stocks slide at the start; Dow falls 112 pts
  53. Baker Hughes, Exxon down; energy stocks fall
  54. Morgan Stanley drops, wider sector also falls
  55. Bed, Bath & Beyond to buy Cost Plus for $517.4 mln
  56. Fannie Mae loss lessens, provisions fall
  57. Cisco reports 20% higher profit; shares move lower in late trading
  58. Dow's six-session losing streak longest since August 2011
  59. Japan to nationalize Tokyo Electric Power Co. for 1 trillion yen: reports
  60. Obama says he supports same-sex marriage
  61. Spain set to act 'immediately' on Bankia: report
  62. Greece to get bulk of next aid tranche; $1.3 bln to be withheld
  63. Gold closes below $1,600 an ounce for first time in 2012
  64. Greece to get 5.2 bln euros in emergency aid: report
  65. U.S. stocks stage afternoon comeback, erasing bulk of Wednesday's losses
  66. Four arrested at Bank of America protest
  67. Cisco shares fall on weak outlook
  68. News Corp. reaffirms FY12 operating income view
  69. Hairstyling mogul Vidal Sassoon dead at 84
  70. Priceline posts 73% higher profit
  71. News Corp. profit climbs 47%; cable networks click
  72. Activision earnings fall, but beat targets
  73. Longest losing streak for Dow since August 2011
  74. MetroPCS shares jump on T-Mobile rumor
  75. Japan to nationalize Tepco for ¥1 trln: reports
  76. Obama backs same-sex marriage
  77. Oil ends lower, under $97 a barrel
  78. Spain ready to act 'immediately' on Bankia: report
  79. Greece to get most of aid tranche; $1.3B withheld
  80. House votes to renew Ex-Im Bank charter
  81. Fed allows three Chinese banks to expand in U.S.
  82. Citi economist calls for 'helicopter money drops'
  83. Appeals court upholds Maker's Mark trademark seal
  84. Gold at lowest since December, under $1,600/oz
  85. Greece to get 5.2 bln euros emergency aid: report
  86. Volcker: Congress must step up pace of reform
  87. U.S. stocks recover most losses; Dow off 20 points
  88. Marubeni eyes $5B deal for grain firm Gavilon: WSJ
  89. Treasury sells $24 bln in 10-year debt at 1.855%
  90. Cisco Systems shares tumble in evening trading on weaker-than-expected sales outlook
  91. Panasonic, Itochu to merge handset vendors: report
  92. SEC charges China affiliate of Deloitte Touche
  93. Stock volume is above year average for second day
  94. News Corp: 'American Idol' needs 'fresh energy'
  95. News Corp.: National TV ad market solid
  96. Olympus to post larger-than-expected loss: report
  97. Hitachi annual profit to set new record: report
  98. Japan stocks open lower, with earnings in focus; Nikkei Average down 0.5%
  99. Japan trade surplus narrows, current-account beats
  100. Australian shares edge higher in early trading
  101. Japan stocks fall, with blue chips leading retreat
  102. Hong Kong stocks open lower as banks, energy shares drag; Hang Seng Index down 0.2%
  103. Australian jobless rate falls to 4.9% in April
  104. Hong Kong stocks undo opening loss as banks rise
  105. U.S. mortgage fees easier to gauge under proposed CFPB rules
  106. Chicago museum visits are one casualty of NATO summit
  107. Michael Casey: Has China been keeping the euro above $1.30?
  108. Korea holds rates steady, citing inflation risks
  109. China's April exports rise 4.9% as imports edge up 0.3%, far below forecast
  110. Hong Kong stocks fall after China trade data
  111. China April trade data shows softening activity
  112. ArcelorMittal 1st-quarter net off 99%, revenue up
  113. Europe stocks in rebound mode, led by resources
  114. Micron in talks to buy Japan's Elpida
  115. U.S. wary of license for China Mobile: report
  116. Europe stocks stumble; Spain, Greek stocks higher
  117. Bank of England leaves key rate and asset-purchase plan unchanged
  118. Coming up: Trade, import prices, jobless claims
  119. Bank of England leaves monetary policy unchanged
  120. OPEC nudges world oil demand forecast higher
  121. Food and drink, tobacco stocks weigh on Europe
  122. Avon's stock rallies as suitor Coty raises buyout offer to $24.75 a share
  123. Norway central bank leaves key rate unchanged
  124. Cisco falls 7% on lower profit outlook
  125. Europe stocks rebound, led by banks
  126. FedEx buying French firm for undisclosed price
  127. Coming up: Jobless claims, U.S. import prices
  128. Avon shares rise on upped Coty buyout offer
  129. Kohl's profit down 23%
  130. U.S. stocks post gains early Thursday; Dow, up 90 points, aims to snap 6-day losing s
  131. U.S. banks are healing: Bernanke
  132. U.S. 30-year mortgage rate hits record low
  133. News Corp. shares up more than 5% on quarterly results and buyback plans
  134. Cisco shares down more than 8% in opening trades
  135. U.S. trade gap widens sharply
  136. U.S. weekly jobless claims fall by 1,000 to 367,000
  137. Euro trims losses as Spain steadies
  138. Coming up: U.S. trade, import and jobless-claims data
  139. Kohl's view misses; Avon gets higher bid from Coty
  140. Monster Beverage soars on profit report
  141. Wageworks shares rise 11% in IPO debut
  142. 30-year mortgage rate hits record low of 3.83%
  143. Upgrade helps Prudential, broader financials rise
  144. News Corp. shares up 5.3% on buyback, results
  145. Techs mixed in early trades; Cisco forecast weighs
  146. Oracle shares fall 2% on cautious note
  147. U.S. stocks start with gains after claims dip
  148. Energy stocks rise, snapping losing streak
  149. No survivors found in Russian jet crash
  150. Bernanke: Banks healthier but have more work to do
  151. AmerisourceBergen sets $750 million share buyback
  152. Caterpiller sells logistics unit for $750 mln
  153. China's CIC stops buying European debt: report
  154. Oil adds to gains, gold turns higher after data
  155. Audience IPO prices above range for Thurs. debut
  156. U.S. stock-index futures rise after data
  157. Dollar pares loss, Treasury down after data
  158. U.S. import prices drop 0.5% in April
  159. U.S. trade gap widens sharply in March
  160. U.S. weekly jobless claims fall 1,000 to 367,000
  161. Natural gas trades lower after supply report
  162. Audience shares up 14% on IPO debut
  163. Priceline shares fall on outlook
  164. Hopes rise for end to Greek deadlock: report
  165. Windstream shares fall on results, outlook
  166. Nevada gambling revenue slumps almost 11% in March
  167. Russia foils Olympic city terror plot: report
  168. P&G to move beauty unit from Ohio to Singapore
  169. FDIC chief sets plan for large bank resolution
  170. U.S. sells 30-yr bonds; Treasurys pare loss
  171. U.S. posts first budget surplus since 2008
  172. Gold edges higher; broader metals suite mixed
  173. U.S. posts first budget surplus since 2008
  174. Third Point reminds Yahoo holders on proxy vote
  175. Feds sue Arizona sheriff for 'unlawful actions'
  176. U.S. Treasury rakes in $5.75 billion from share sale, AIG says
  177. Oil, natural gas end modestly higher
  178. Treasury's latest offering of AIG stock completed
  179. House approves bill to overturn defense cuts
  180. N.J. Gov. Christie vetoes health exchange
  181. Freddie Mac appoints Donald Layton CEO
  182. Nordstrom shares fall 6% after hours in wake of quarterly report
  183. Dow snaps six-session losing streak; Nasdaq ends lower as Cisco falls 10%
  184. Dow pares gains, Nasdaq turns lower in final minutes of session
  185. Nordstrom backs 2012 profit outlook
  186. Berkshire would put in $2.5 bln on Coty deal: WSJ
  187. Freddie Mac appoints Donald Layton CEO
  188. Dow breaks loss streak; Nasdaq drops with Cisco
  189. Sotheby's swings to loss in first quarter
  190. Deutsche Bank to settle mortgage suit for $202 mln
  191. Dollar index heads to 9th daily gain
  192. Canada stocks head for first gain in seven days
  193. J.P. Morgan shares fall in late trading on 'significant' credit loss
  194. J.P. Morgan has significant credit portfolio loss
  195. Freddie Mac names former E*Trade chief as CEO
  196. GameStop warns of sales drop in first quarter
  197. J.P. Morgan trade calls for Volcker rule: Levin
  198. Nissan to outsource new Infiniti model to Magna
  199. Videogame sales plunge again in April
  200. Japan stocks open mildly higher, as earnings support shares; Nikkei Average up 0.1%
  201. Australian shares edge higher, miners up
  202. Japan stocks rise, as earnings boost shares
  203. China's consumer inflation slows slightly to 3.4%, down from March's 3.6%
  204. China's inflation eases in April, as expected
  205. Hong Kong stocks slide in early trading
  206. Sands China to join Hang Seng Index; shares rise
  207. China's April industrial output up 9.3%, below expectations; retail sales rise 14.1%
  208. Gold tumbles as dollar rises on risk aversion
  209. U.S. stock futures point lower; J.P. Morgan weighs
  210. IAG losses up on fuel costs, Iberia pilot strike
  211. China data slightly weaker than forecast
  212. Sony shares slump to multi-decade low
  213. IEA ups April oil supply to 91 mln barrels a day
  214. Bank of Japan pledges foreign currency support
  215. J.P. Morgan, Spain, China weigh on Europe stocks
  216. J.P. Morgan in talks with U.K. regulators: report
  217. EU sees 'slow recovery' in second half of 2012
  218. Goldman on JP Morgan: Story remains intact
  219. J.P. Morgan Chase's shares down 7% in the premarket, dragging on Dow futures
  220. Mylan launches generic Lipitor in France, U.K.
  221. J.P. Morgan down 7%, analyst keeps it overweight
  222. Houghton Mifflin floats $3.1 bln debt restructure
  223. U.S. dollar falls below parity with Canadian currency
  224. U.S. producer prices decline in April as gas cost falls
  225. Dollar ticking higher for 10th straight day
  226. Dollar pares rise, Treasurys stay up after PPI
  227. FBR cuts J.P. Morgan rating to market perform
  228. Gas price drop drags April PPI down 0.2%
  229. Nvidia up 8% on upbeat outlook
  230. Coming up: Producer prices for April
  231. Spain raises bank provisions in cleanup step
  232. Chesapeake faces undisclosed costs: report
  233. Spain raises provisions for banks in clean-up move
  234. U.S. dollar drops vs. Canadian unit after data
  235. U.S. stock futures remain steeply lower after PPI
  236. SEC head: 'Obviously' focused on J.P. Morgan trade
  237. Coming up: UMich consumer sentiment for May
  238. Univ. of Michigan gauge of U.S. consumer sentiment hits highest level since January 2
  239. J.P. Morgan shares slump 9% early Friday after disclosure of $2 billion trading loss
  240. SEC 'obviously' focused on disastrous J.P. Morgan trade: Schapiro
  241. Arena rockets on FDA nod
  242. Career Education down 12% on enrollment results
  243. Darling shares slump as Q1 results miss views
  244. Treasurys pare gain, dollar turns down after data
  245. Nordstrom drops on result; Dillard's jumps
  246. Consumer sentiment edges higher in May
  247. Nvidia gains stand out among tech stocks
  248. Chesapeake Energy, Phillips 66 move down
  249. U.S. stocks open lower on J.P. Morgan Chase loss
  250. U.S. stocks wave off opening-hour losses; Dow industrials up 25 points