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30,427 signal articles · 132 in last 24h · 153,916 total before filter · latest 1h ago
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Investing.com4d agoneutral
What to expect from upcoming summit between Presidents Trump and Xi

Investing.com -- U.S. President Donald Trump and Chinese President Xi Jinping are set to meet in Washington on Sept. 24, with trade, tariffs, Taiwan, the Iran war, and artificial intelligence among the main issues expected to shape their second meeting this year, Reuters reported.

Investing.com6d agoneutral
Saudi Aramco halts crude oil supply to European customers

Investing.com -- Saudi Aramco has informed at least two oil refining customers in Europe that they will receive no crude oil next month following an attack on the kingdom’s main pipeline to the Red Sea, according to a report from Bloomberg News, citing people familiar with the matter.

Investing.com9d agoneutral
Canada’s inflation picture is getting complicated — what analysts see ahead

Investing: Canada’s annual inflation rate held at 3% in August, keeping price pressures above the Bank of Canada’s 2% target but offering little evidence of a broad acceleration that would force policymakers into an immediate rate response. Economists said relatively stable energy prices and easing food-price pressures helped keep inflation contained, while services remained an area to watch. The August reading leaves the Bank of Canada facing a difficult balance between persistent headline infl

Investing.com13d agoneutral
Colgate-Palmolive exploring $1B divestment of select brands, Reuters reports

Investing.com -- Colgate-Palmolive Company (NYSE:CL) is exploring the sale of several key mass-market personal care brands as part of a strategic portfolio realignment, according to a Reuters report citing people familiar with the matter. The New York-based consumer products giant is working with investment bank Goldman Sachs to gauge buyer interest in select assets, including Softsoap, Irish Spring, and Speed Stick. The targeted divestment involves a subset of Colgate’s broader personal care di

Investing.com18d agoneutral
OPEC+ set to hold oil output policy steady for October - Reuters

Investing.com -- OPEC+ is expected to leave its oil production policy unchanged for October when members meet on Sunday, Reuters reported exclusively, citing two people familiar with the discussions, as the group turns its attention to setting new production quotas.

Investing.com18d agoneutral
U.S.-Iran tanker war escalates as Hormuz disruption deepens

Investing.com -- The U.S.-Iran conflict intensified over the weekend as Tehran claimed fresh attacks on a U.S.-operated drone boat and several commercial vessels, adding to a widening confrontation in the Strait of Hormuz after Washington struck three Iranian oil tankers, Al Jazeera reported on Sunday.

3 All-Weather Dividend Stocks That Keep Writing Bigger Checks
24/7 Wall St.20d agoneutral
3 All-Weather Dividend Stocks That Keep Writing Bigger Checks

Some dividend stocks raise their payouts through one recession, maybe two. A handful of consumer staples names have kept writing bigger checks through every downturn for decades, and the cash flow behind that streak is more durable than most investors realize.

Investing.com21d agoneutral
Oil pulls back, Broadcom disappoints - what’s moving markets

Investing.com - U.S. stock futures were little changed on Wednesday evening as investors weighed renewed tensions between the U.S. and Iran, rising interest-rate concerns and a fresh batch of corporate news. Oil prices eased after a three-day rally, while investors looked ahead to Friday’s key U.S. labor market report for clues on the Federal Reserve’s next move.

Investing.com22d agoneutral
Oil spike, Fed data and 5% yields: - what’s moving markets

Investing.com - U.S. stock futures were little changed on Wednesday as investors remained cautious ahead of key U.S. economic data and the Federal Reserve’s Beige Book, while renewed U.S.-Iran strikes and a sharp rise in global bond yields kept risk appetite in check.

Investing.com23d agoneutral
Two Saudi tankers struck in Strait of Hormuz Monday

Investing.com -- Two oil tankers carrying Saudi crude were hit by unknown projectiles on Monday while passing through the Strait of Hormuz, according to shipping intelligence firms Marisks and Kpler.

Investing.com25d agoneutral
Khamenei urges unity among Gulf leaders as Tehran keeps Hormuz closed

Investing.com -- Iran’s Supreme Leader Mojtaba Khamenei urged Gulf rulers to unite against what he called their “real enemy,” Reuters reported Sunday, issuing a rare written message as the six-month-old war continues to strain relations across the region.

Investing.com26d agobearish
Iranian trade plunges 35% as U.S. steps up economic pressure

Investing.com -- Iran’s foreign trade has fallen nearly 35% under U.S. sanctions and a naval blockade, President Masoud Pezeshkian said, as Tehran’s leadership acknowledged mounting economic pressure six months into the war, Reuters reported exclusively.

Investing.com35d agoneutral
When do we “run out” of oil stockpiles?

Investing.com -- In a note to clients on Thursday, Citi analysts said the U.S.-Iran conflict and disruptions to the Strait of Hormuz have driven global observed inventory draws of roughly 3 million barrels per day, or 519 million barrels, between February and August 2026.

Trump threatens to bomb Oman over Iran stance
Investing.com38d agoneutral
Trump threatens to bomb Oman over Iran stance

Investing.com -- President Donald Trump threatened military action against Oman if the country interferes with the U.S. blockade of Iranian ships in the Strait of Hormuz, according to Fox News.

Investing.com46d agoneutral
China factory-gate inflation slows more than expected in July

Investing.com -- China’s producer price inflation eased more sharply than expected in July, while consumer inflation also slowed as weaker energy prices and soft domestic demand reduced price pressures, Reuters reported on Sunday, citing official data.

Colgate-Palmolive (CL) Earnings Keep Fair Value In Focus
Simply Wall St.54d agoneutral
Colgate-Palmolive (CL) Earnings Keep Fair Value In Focus

Colgate-Palmolive (CL) drew investor attention after releasing second quarter 2026 results, reporting sales of US$5.36b and net income of US$693m, while maintaining full year guidance for both net sales and earnings. See our latest analysis for Colgate-Palmolive. Colgate-Palmolive’s latest earnings and steady guidance come after a solid run in the stock, with a year to date share price return of 17.52% and a 1 year total shareholder return of 12.06%, while shorter term share price momentum...

Colgate-Palmolive Q2 Earnings Call Highlights
MarketBeat55d agoneutral
Colgate-Palmolive Q2 Earnings Call Highlights

Colgate-Palmolive (NYSE:CL) said its second-quarter 2026 results reflected broad-based organic sales growth, gross-margin expansion and higher advertising spending, while executives outlined steps to improve performance in North America amid softer category trends and elevated competition. Chairman