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  1. High ECB overnight loan levels tied to Ireland
  2. Israel stocks open lower; rate decision awaited
  3. Diageo buying Turkey's Mey Icki in $2.1 bln deal
  4. European bourses open lower
  5. Fitch downgrades Libya's credit rating
  6. BP paying $7.2 billion for stake in Indian assets
  7. BP prepares to evacuate some staff from Libya
  8. Hong Kong shares tumble in early trade on geopolitical worries; Hang Seng Index drops
  9. Moody's cuts Japan's outlook to negative from stable on fiscal concerns
  10. Japanese shares decline in early trading; Nikkei Average down 0.9%
  11. Tata Motor in talks with Great Wall Motor
  12. Second aftershock hits New Zealand
  13. Hong Kong shares tumble amid geopolitical worries
  14. Moody's cuts Japan outlook due to fiscal concern
  15. Earthquake shakes NZ city of Christchurch
  16. Australian business conditions soften: NAB survey
  17. Japanese shares down, automakers weak
  18. Australian shares drift lower; BHP gains
  19. BHP Billiton to buy back A$5 bln shares off market
  20. Chesapeake to sell shale assets to BHP for $4.75B
  21. European stocks drop in early trading
  22. Next lifted to buy from neutral at UBS
  23. AXA upgraded to buy from neutral at UBS
  24. Santander, Zurich Financial form LatAm alliance
  25. Dynegy CEO, CFO resign; holders reject a bid
  26. Pyne Gould shares drop after earthquake
  27. Investor group bids $290 million for Blockbuster
  28. U.S. stock futures drop sharply amid Mideast/North Africa unrest
  29. Libya turmoil triggers wider CDS spreads in region
  30. U.K. sees 3.7 bln pound net surplus in January
  31. U.S. stock futures tumble on Libya unrest
  32. U.S. house prices decline in December: S&P/Case-Shiller
  33. Coming up: Case-Shiller home-price index for December
  34. Macy's shares post gains in premarket following quarterly report
  35. Wal-Mart CEO 'disappointed' by quarterly U.S. sales; retailer pares capital-spending
  36. Warren: Credit card industry has gone beyond law
  37. General Mills reaffirms outlook
  38. Genuine Parts posts a higher quarterly profit
  39. Gilead to acquire Calistoga Pharmaceuticals
  40. Coming up: S&P/Case-Shiller index for Dec.
  41. PSEG earnings dip 19%
  42. Credit Suisse lowers outlook for European airlines
  43. Treasurys gain as Middle East violence grows
  44. Macy's fourth-quarter profit tops estimate
  45. Ameren profit drops
  46. VF Corp. reports lower quarterly net income
  47. Medtronic quarterly earnings rise 11%
  48. Wal-Mart profit tops estimate; outlook may miss
  49. Office Depot narrows its quarterly loss
  50. NRG Energy swings to loss, revenue falls 15%
  51. R.R. Donnelley swings to $27 million profit
  52. Medco 4th-quarter net up 11%; outlook affirmed
  53. Hormel Foods net profit up 33%, lifts guidance
  54. Home Depot 4th-quarter net up 72%; dividend up
  55. Holly Corp., Frontier Oil announce merger
  56. U.S. consumer confidence jumps in February
  57. Dow industrials fall more than 100 points early Tuesday; Wal-Mart is biggest loser
  58. SIGA shares soar on smallpox contract update
  59. Green Mountain, Dunkin' Donuts form partnership
  60. February consumer confidence jumps to 70.4
  61. Chesapeake leads energy stock gainers
  62. Delcath implodes on FDA setback
  63. Techs slip as Nvidia, AMD, TI shares retreat
  64. Financials open with nearly 2% loss
  65. Amazon launches video plan, Netflix shares fall
  66. Airlne stocks fall as oil hits $97 a barrel
  67. Coming up: Consumer confidence
  68. Enbridge announces 2-for-1 stock split
  69. Sempra raises its annual dividend
  70. Treasurys up, dollar turns down after data
  71. Home prices down 1.0% in Dec.: S&P/Case-Shiller
  72. Stock futures hold losses after home-price data
  73. Italy stock market reopens, index declines
  74. Mentor Graphics shares soar on Icahn offer
  75. Builder stocks retreat after Case-Shiller
  76. Iran ships passing through Suez without incident
  77. Cisco appoints Gary Moore chief operating officer
  78. Libya's Gadhafi resists calls for resignation
  79. VFC shares jump 9% on strong report
  80. Libya's Gadhafi refuses to step down: reports
  81. Humana, HealthSpring rise on Medicare news
  82. Leucadia leads large-cap financial stocks lower
  83. Barnes & Noble suspends dividend; shares slide
  84. Genuine Parts shares dip after improved report
  85. Canadian shares down on U.S. markets, retail sales
  86. U.S. stock indexes extend losses on Libyan turmoil
  87. U.S. sells 2-year debt at highest yield since May
  88. Libya declares force majeure in oil market: report
  89. Libya declares force majeure on oil: report
  90. LatAm stocks off; Oil shares up on Mideast tension
  91. Gold ends at highest in seven weeks on Libya worry
  92. VIX jumps nearly 30% in stock sell-off
  93. CBS, Netflix cut two-year streaming content deal
  94. Dow industrials down 200 points in final hour of session
  95. Oil ends up 8.6% at $93.57 a barrel, highest close since October 2008
  96. S&P lowers Campbell Soup ratings outlook
  97. Crude futures settle at highest since October 2008
  98. Japanese shares falter early; Nikkei Average down 0.7%
  99. Hewlett-Packard shares drop 12% in after-hours trading following disappointing outloo
  100. H-P reports higher profit; shares fall 6% after hours on weak outlook
  101. Dow finishes down 178 points as Libyan crisis intensifies
  102. Australian shares decline, earnings add pressure
  103. Virgin Blue profit falls, says outlook challenging
  104. NZ quake death toll hits 75, many missing: PM
  105. IAG cuts margin guidance on NZ earthquake
  106. RBA chief sees challenges, opportunities
  107. RadioShack profit drops 25%
  108. Demand Media swings to profit as sales rise 33%
  109. Leap Wireless sees net loss deepen
  110. Chesapeake Energy posts lower profit
  111. U.S. stocks hit hard as Libyan violence escalates
  112. H-P net jumps 16%
  113. Fed shouldn't rush to tighten, Evans says: report
  114. Japanese shares decline, automakers pressured
  115. Ex-White House chief of staff Rahm Emanuel elected Chicago mayor: reports
  116. Hong Kong shares edge down before budget speech; Hang Seng Index drops 0.2%
  117. Hong Kong shares edge lower ahead of budget speech
  118. Xinhua, China Mobile launch online search engine
  119. Volvo to set up China factory: report
  120. Ten Network terminates CEO contract
  121. Hong Kong GDP to grow 4% to 5% in 2011: John Tsang
  122. Emanuel claims victory in Chicago mayor's race
  123. Japan records trade deficit in January
  124. Ex-Obama aide Emanuel projected Chicago mayor
  125. Washington Post profit slips 3%
  126. Denbury Resources profit nearly triples
  127. TJX first-quarter forecast falls short
  128. Toll results better than expected: analyst
  129. High-end retailer Saks swings to profit
  130. Treasurys slip mildly ahead of 5-year auction
  131. Arab turmoil may spare the aerospace sector
  132. Susquehanna raises price target for Chesapeake
  133. Dollar Tree net income increases by 20%
  134. DirecTV swings to fourth-quarter profit
  135. Zale profit rises on improved sales
  136. Police clash with protesters in Athens: reports
  137. Enterprise Products offers 29% premium for Duncan
  138. Nicor net profit falls 27%, sales fall 3.8%
  139. Lowe's fourth-quarter earnings up 39% to $285 mln
  140. WellPoint reaffirms guidance, lifts buyback
  141. Toll Brothers posts profit; some markets improving
  142. Euro-zone Dec. industrial new orders rose 2.1%
  143. BOE voted 6-3 in Feb. to hold interest rates
  144. SEC eyes possible conflicts in private-firm trades
  145. Dresser-Rand: Mideast turmoil shouldn't hurt '11
  146. Europe stocks open lower; Natixis, Barclays higher
  147. Hong Kong to launch inflation-linked bonds
  148. Natixis tops forecasts, reassures on capital
  149. Commerzbank swings to profit; 2011 start upbeat
  150. Eaton Vance sees lower quarterly net income
  151. U.S. stocks start Wednesday in red as premarket rebound fizzles
  152. Fluor net income dips; sticks to 2011 view
  153. Problem banks grow in fourth quarter, says FDIC
  154. Existing home sales up 2.7% in January
  155. Alnylam shares jump on analyst upgrade
  156. Netflix shares extend losses on Amazon streaming
  157. Vertex rallies on cystic fibrosis drug studies
  158. H-P shares pressure tech stocks
  159. U.S. stocks neutral after biggest drop of year
  160. TJX, Lowe's fall; Zale up in mixed sector trading
  161. Energy stocks surge as oil rises
  162. Financials slightly higher after sell-off
  163. Airline stocks decline for a second day
  164. Deutsche Bank eyes oil sands as Libya boils
  165. U.S. existing-home sales rise, but prices are lowest since 2002
  166. Quanta shares hit by disappointing outlook
  167. Cabot Oil shares top S&P 500 with 8% gain
  168. Dollars falls more after data; Treasurys up
  169. Frontier shares drop after profit miss
  170. DirecTV shares up 4% on earnings
  171. Gold adds to gains, rises 0.8% to $1,412.50/oz
  172. Apple sets iPad event for March 2
  173. Canadian market recovers on strong oil prices
  174. Fed buys about $2 bln in bonds; Treasurys stay up
  175. April crude futures break through $99 mark
  176. Range Resources jumps on production view
  177. Ford recalls 144,000 F-150 trucks over airbag
  178. U.S. sells 5-yr debt at 2.19%; bonds give up gains
  179. Obama to name antitrust official to economic panel
  180. S&P raises Amazon.com credit rating
  181. Biggest banks must be broken up: Fed's Hoenig
  182. Abbott wins J&J patent case on appeal
  183. U.S. stocks slide more as crude eyes $100 a barrel
  184. Resolution seeking more clarity on Apple's succession plan fails
  185. Crude-oil futures top $100 a barrel; last triple-digit close came in September 2008
  186. Treasurys lose ground after 5-year-note auction
  187. Oil pushes past $100 a barrel on supply concerns
  188. Natural gas futures turn higher, push toward $4
  189. Air Force may announce tanker contract on Thursday
  190. Gold settles at fresh seven-week high
  191. Survey shows support for Apple sales without Jobs
  192. Apple holder resolution on CEO succession fails
  193. Philly Fed's Plosser weighs vote against QE2
  194. Oil futures at Oct. 2008 high; gasoline jumps 4%
  195. Middle East unrest could push oil to $220: Nomura
  196. Higher oil prices rattle transportation sector
  197. Autodesk shares slip ahead of earnings
  198. Shares of Jabil Circuit fall more than 4%
  199. JDSU shares fall 4%
  200. Moody's upgrades Whole Foods' rating to 'Ba2'
  201. Japanese shares weak in early trading; Nikkei Average down 0.4%
  202. Dow suffers second straight triple-digit drop; H-P, down 10%, is biggest decliner
  203. St. Joe Company delays earnings report
  204. CME Group hikes dividend 22% to $1.40 a share
  205. Investors pour into stock funds: ICI
  206. Japanese shares weak in early trading
  207. Origin Energy swings to first-half loss
  208. Australian shares slip in early trading
  209. Obama preparing all options for Libya response
  210. Insurance Australia Group profit more than halves
  211. Air New Zealand profit jumps 75%
  212. Limited Brands posts 27% higher net profit
  213. API reports small crude supply increase
  214. Up to 5 mln jobs due to stimulus: CBO
  215. Fairfax Media first-half profit rises 15%
  216. Nordstrom hikes dividend by 15% to 23 cents
  217. H&R Block expects to break even in third quarter
  218. Stocks tumble on oil's rally, H-P's outlook
  219. Priceline profit up as sales rise 35%
  220. Hong Kong shares inch up in early trade on energy producers; Hang Seng Index rises 0.
  221. NZ earthquake death toll rises to 98
  222. Shanghai unveils one-dog policy
  223. Earthquake rescue efforts go on in New Zealand
  224. Coming up: January existing-home sales data
  225. Hong Kong rises on energy shares as airlines slip
  226. U.S. weekly initial claims for jobless benefits fall by 22,000
  227. U.S. durable-goods orders rise 2.7%
  228. Saudis in talks about higher oil output: FT report
  229. GM sees 'strong start' to 2011 as 2010 profit totals $4.7 billion
  230. Retailer Kohl's initiates 25-cent quarterly dividend, adds $2.6 billion more for buyb
  231. India's Sensex index ends down 3%
  232. Coming up: Durable-goods, jobless claims
  233. Crude oil near $101 a barrel amid Libya jitters
  234. U.S. stock futures retain losses after data
  235. Treasury yields, dollar stay down after data
  236. Jan. durable goods orders up 2.7%
  237. Weekly jobless claims decline 22,000 to 391,000
  238. El Paso profit falls sharply
  239. Saudi Arabia in talks to raise oil output: FT
  240. Heinz expects third-quarter profit to beat target
  241. GM posts fourth-quarter profit
  242. Target fourth-quarter profit tops estimates
  243. Holly swings to a profit, sees production dip
  244. Kohl's profit rises; outlook may fall short
  245. MetroPCS profit falls 59% after charges
  246. Newmont Mining net income up 46% to $812 million
  247. Dish Network profit up 41%
  248. Sears Holdings 4th-period net off 13%, sales flat
  249. Thermo Fisher to sell units for $940 million
  250. IEA board to discuss oil-market situation