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Wal-Mart Stores, Inc. (WMT)

103.42
-0.27 (-0.26%)
NYSE · Last Trade: Sep 16th, 7:15 PM EDT
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Navigating the Storm: Investment Strategies for an Unpredictable 2025
The financial landscape is bracing for a turbulent 2025, as expert consensus points towards a significant uptick in market volatility. This anticipated shift, driven by a complex interplay of global policies, stubbornly high inflation, and persistent geopolitical tensions, signals a departure from recent market dynamics, demanding a proactive and adaptable
Via MarketMinute · September 16, 2025
Why This Time Was Different: How the Economy Defied the Longest Yield Curve Inversion
The financial world often relies on time-tested indicators to forecast economic shifts, and few are as closely watched as the yield curve. Historically, when short-term government bonds yield more than long-term ones—an "inversion"—it has served as a near-infallible harbinger of recession. Yet, from 2022 through 2024, the U.
Via MarketMinute · September 16, 2025
The Unsettling Normalization: Yield Curve's Un-Inversion Signals Potential Storm Ahead
In a development that has sent ripples of concern through financial markets, the U.S. Treasury yield curve underwent a significant un-inversion in April 2025, following its longest inversion in history, spanning from 2022 through 2024. This shift, characterized by short-term interest rates falling below long-term rates once again, initially
Via MarketMinute · September 16, 2025
Market Euphoria: S&P 500 and Nasdaq Soar to New Highs as Trump Pauses Tariff Onslaught
The financial markets in 2025 have been a rollercoaster, culminating in a period of unprecedented euphoria. Both the S&P 500 and the Nasdaq Composite have surged to remarkable new all-time highs, largely driven by a pivotal shift in trade policy: the Trump administration's strategic pause in escalating tariff increases.
Via MarketMinute · September 16, 2025
The Widening Chasm: Unpacking the Alarming Disparity in Executive Compensation
The chasm between the compensation of corporate chief executives and their average employees has grown into an unprecedented gulf, raising fundamental questions about economic fairness, corporate governance, and societal stability. With the CEO-to-median-worker pay ratio in the United States currently hovering around an astonishing 290-to-1 to 324-to-1 for major companies,
Via MarketMinute · September 16, 2025
The Silent Squeeze: How Persistent Inflation Widens the Gulf of Inequality
Persistent inflation, a seemingly ubiquitous feature of the global economic landscape, is exacting a heavy toll, particularly on the most vulnerable segments of society. Far from being a uniform economic phenomenon, the current inflationary surge is disproportionately eroding the purchasing power of lower-income households, thereby exacerbating existing inequalities and deepening
Via MarketMinute · September 16, 2025
Bessent Says Trump Was Ready To Let TikTok 'Go Dark' — Here's What That Means For Tech Stocksbenzinga.com
Trump's hardball stance on TikTok forced China back to negotiations. Wall Street is wondering how this affects tech stocks. Follow QQQ for updates.
Via Benzinga · September 16, 2025
The Widening Chasm: Global Wealth Inequality Reaches Alarming Levels
The global economy is witnessing a dramatic and concerning acceleration in wealth inequality, with a stark concentration of assets in the hands of the ultra-rich. Recent data reveals that the wealthiest 1% of the world's population now controls an astonishing 43% of all global financial assets. This monumental accumulation has
Via MarketMinute · September 16, 2025
Monetary Easing on the Horizon: Investors Brace for 2025 Rate Cuts, Fueling a Shift to Risk Assets
Central banks worldwide, spearheaded by the U.S. Federal Reserve, are signaling a significant pivot towards monetary easing in 2025. This anticipated shift, driven by a weakening labor market and cooling inflation, is poised to reshape financial markets and investor strategies. With lower borrowing costs on the horizon, a "risk-on"
Via MarketMinute · September 16, 2025
The Trade Desk Tumbles: Growth Concerns and Fierce Competition Spark Investor Exodus
The Trade Desk (NASDAQ: TTD), a leading independent demand-side platform (DSP), experienced a dramatic stock plunge following its Q2 2025 earnings report, despite a top-line revenue beat. Investors reacted sharply to conservative forward guidance, signs of margin compression, and an increasingly competitive advertising landscape, particularly from tech giants and retail
Via MarketMinute · September 16, 2025
U.S. Labor Market Takes a Breather: A Deeper Dive into Economic Implications and Stock Market Ripples
The robust U.S. labor market, a cornerstone of post-pandemic economic recovery, is finally showing definitive signs of cooling. Recent data indicates a significant moderation in nonfarm payroll figures, accompanied by a slowdown in wage growth. This shift signals a potential rebalancing of supply and demand for labor, with immediate
Via MarketMinute · September 16, 2025
Market Mania Meets Economic Malaise: Record Highs Clash with Persistent Headwinds in Q3 2025
The third quarter of 2025 has been a period of stark contrasts for the global financial markets. While major U.S. stock indices like the S&P 500 and the Dow Jones Industrial Average (DJIA) have soared to unprecedented record highs, a closer look reveals a landscape fraught with economic
Via MarketMinute · September 16, 2025
Spotlight on Walmart: Analyzing the Surge in Options Activitybenzinga.com
Via Benzinga · September 16, 2025
If a Recession Is Coming, You'll Want to Own These 2 Stocksmarketbeat.com
With the economy flirting with a recession, investors who shore up their portfolios with defensive consumer staples stocks are likely to feel less pain.
Via MarketBeat · September 16, 2025
Best Dividend Stocks to Buy: Costco vs. Walmart vs. Targetfool.com
These businesses are some of the best merchandisers in the world.
Via The Motley Fool · September 16, 2025
Move Over, Oracle! This Industry Leader Is Ideally Positioned to Become Wall Street's Next Trillion-Dollar Stock.fool.com
Though cloud giant Oracle came within a stone's throw of reaching the psychologically important $1 trillion valuation mark, another company is better suited to beat it to the punch.
Via The Motley Fool · September 16, 2025
3 Unprofitable Stocks with Warning Signs
Running at a loss can be a red flag. Many of these businesses face mounting challenges as competition increases and funding becomes harder to secure.
Via StockStory · September 16, 2025
2 High-Flying Stocks on Our Buy List and 1 We Ignore
Expensive stocks typically earn their valuations through superior growth rates that other companies simply can’t match. The flip side though is that these lofty expectations make them particularly susceptible to drawdowns when market sentiment shifts.
Via StockStory · September 16, 2025
After a Strong Wall Street Debut, Klarna's Real Work Beginsmarketbeat.com
Klarna's strong market debut is fueled by accelerating U.S. growth, key retail partnerships, and a clear, technology-driven path toward profitability.
Via MarketBeat · September 15, 2025
U.S. Economic Downturn or Global Contraction: A Looming Question for 2025
The financial world is currently grappling with a pivotal question: Is the United States headed for an economic recession, or is a broader global contraction on the horizon? Expert opinions are deeply divided, with some forecasting a relatively benign year for the U.S. while others warn of significant downturns
Via MarketMinute · September 15, 2025
A Gathering Storm: U.S. Economy Grapples with Recessionary Headwinds
The United States economy is facing an increasingly complex and concerning confluence of risk factors, raising the specter of a looming recession. A deteriorating labor market, persistently high inflation, and the ongoing, disruptive impact of trade tariffs are interacting in ways that significantly elevate economic uncertainty for businesses, consumers, and
Via MarketMinute · September 15, 2025
The Great Divide: Services Outpace Goods as Primary Driver of Persistent Inflation
The global economy is grappling with a significant shift in the landscape of consumer price inflation. While initial surges in inflation were largely attributed to supply chain disruptions and elevated energy costs impacting goods, the narrative has fundamentally changed. Today, the sticky, persistent nature of inflation is predominantly a services-led
Via MarketMinute · September 15, 2025
The Central Bank Tightrope: Navigating Persistent Inflation While Courting Growth
Central banks worldwide find themselves locked in a precarious balancing act, attempting to thread the needle between taming persistent inflationary pressures and fostering sustainable economic growth. This intricate challenge has defined monetary policy in 2025, as institutions like the European Central Bank (ECB), the Federal Reserve (Fed), and the Bank
Via MarketMinute · September 15, 2025
U.S. Economy Braces for Significant Slowdown: Leading Indicators Signal Weakening, Not Yet Recession
The U.S. economy finds itself at a critical juncture, as signals from The Conference Board's Leading Economic Index (LEI) point toward a sustained period of economic weakening. While the LEI's consistent downward trend has historically preceded recessions, The Conference Board maintains a nuanced outlook, forecasting a "significant slowdown" rather
Via MarketMinute · September 15, 2025
Stalling Job Market Rings Alarm Bells: August Employment Data Signals Economic Headwinds and Intensified Rate Cut Expectations
The latest U.S. employment report for August 2025 has sent a palpable chill through financial markets and economic forecasts, confirming a significant deceleration in the nation's labor market. Following a rare job contraction in June—the first monthly decline in nonfarm jobs since December 2020—the unemployment rate has
Via MarketMinute · September 15, 2025