Nike, Inc. Common Stock (NKE)
67.38
+2.16 (3.31%)
NYSE · Last Trade: Oct 14th, 2:24 AM EDT
Global financial markets have experienced a significant resurgence, marked by a robust rebound in US stock markets, as recent signals point towards an easing of the protracted trade tensions between the United States and China. After a period of heightened volatility and a sharp market downturn, a shift in rhetoric
Via MarketMinute · October 13, 2025
As the 2025 holiday season approaches, a wave of caution is sweeping through the retail sector. Major retailers across the United States are reportedly scaling back or outright delaying their holiday hiring plans, a significant departure from pre-pandemic norms. This strategic retrenchment is a direct response to persistent economic uncertainty,
Via MarketMinute · October 13, 2025
Nike Stock Gets A Price Target Cut From RBC, But Analyst Remains Positive On 2026 Setupstocktwits.com
Via Stocktwits · October 10, 2025
The week of October 13, 2025, promises to be a crucible for global financial markets, with investors grappling with a confluence of high-stakes events. Escalating US-China trade tensions, a critical but delayed Consumer Price Index (CPI) data release, and the highly anticipated commencement of the third-quarter corporate earnings season are
Via MarketMinute · October 12, 2025
A temporary de-escalation in the fraught US-China trade war in December 2018, sparked by statements from then-President Donald Trump following a G20 summit, provided a much-needed jolt of optimism to global financial markets, leading to a significant rebound in oil prices. After months of escalating tariffs and fears of a
Via MarketMinute · October 12, 2025
Global financial markets are currently experiencing a significant divergence, with Asian shares facing considerable pressure due to escalating US-China trade tensions, while Wall Street futures have staged a notable rebound. This split reaction, observed around October 12, 2025, highlights the immediate and often contrasting interpretations of heightened geopolitical risks and
Via MarketMinute · October 12, 2025
This brand has fallen on hard times but still has a long history of revenue growth.
Via The Motley Fool · October 12, 2025
These are two established blue chips with good dividend yields -- but one looks like the better bet over the next 10 years.
Via The Motley Fool · October 11, 2025
Washington D.C., October 10, 2025 – The financial markets are bracing for impact as the September 2025 Consumer Price Index (CPI) report looms, a critical piece of economic data that promises to shine a harsh light on persistent inflation. This report, due for release amidst an ongoing government shutdown, is
Via MarketMinute · October 10, 2025
The September 2025 Consumer Price Index (CPI) report, unveiled in early October amidst a cloud of potential government shutdown, has delivered a sobering message to financial markets and American households alike: inflation, though showing signs of moderation, remains stubbornly elevated. With headline inflation registering 3.3% year-over-year and core inflation
Via MarketMinute · October 10, 2025
October 10, 2025 - The financial markets closed today in a state of heightened anxiety, as a fresh wave of US-China tariff threats triggered a broad market sell-off, with the tech-heavy Nasdaq Composite leading the downturn. At the epicenter of this geopolitical storm was NVIDIA (NASDAQ: NVDA), whose shares experienced
Via MarketMinute · October 10, 2025
Wall Street is experiencing a significant upheaval following a sharp escalation in trade tensions between the United States and China. On October 10, 2025, renewed threats of tariffs from the US and swift countermeasures from China shattered a period of relative market calm, sending major stock indexes tumbling and prompting
Via MarketMinute · October 10, 2025
Global markets are grappling with unprecedented volatility as gold prices have surged past the historic $4,000 per ounce mark, reaching an all-time high of approximately $4,059.05 on October 9, 2025. This monumental rally, which has seen the precious metal gain over 50% since the start of the
Via MarketMinute · October 10, 2025
A potential U.S. government shutdown is once again casting a shadow over financial markets, triggering a predictable flight to safety that has sent Treasury yields lower. As the specter of halted government services and delayed economic data looms, investors are flocking to the perceived security of U.S. government
Via MarketMinute · October 10, 2025
In a period marked by soaring equity markets and a seemingly resilient U.S. economy, Jamie Dimon, the veteran CEO of JPMorgan Chase (NYSE: JPM), continues to stand as a solitary voice of caution, issuing increasingly urgent warnings about a potential stock market crash and a perilous economic outlook. His
Via MarketMinute · October 10, 2025
According to a Bloomberg News report, citing a company spokesperson, with backing from Sequoia Capital and Andreessen Horowitz, Kalshi has raised over $300 million in this new investment round.
Via Stocktwits · October 10, 2025
Nike shareholders have seen huge losses in recent years.
Via The Motley Fool · October 10, 2025
A Piper Sandler survey of 11,000 teenagers showed that loyalty to well-known brands remained strong.
Via Stocktwits · October 10, 2025
New York, NY – October 9, 2025 – The Consumer Discretionary Sector (XLY) experienced a notable downturn today, reflecting broader market anxieties as a general pullback took hold. As investors grapple with concerns over AI stock valuations, an ongoing U.S. government shutdown, and uncertain Federal Reserve monetary policy, the consumer-sensitive sector
Via MarketMinute · October 9, 2025
Although Nike faces uncertain fundamental prospects amid tariff-related pressure, this quant signal suggests near-term upside for NKE stock.
Via Benzinga · October 8, 2025
The Dow Jones Industrial Average has navigated a turbulent yet ultimately upward trajectory from late 2024 through October 2025, demonstrating remarkable resilience despite significant slips and periods of flat trading. This period has been characterized by a delicate balance of strong corporate earnings, particularly from the burgeoning artificial intelligence sector,
Via MarketMinute · October 8, 2025
October 8, 2025 - The financial world stands poised, eyes fixed on the release of the latest Federal Reserve minutes from the September Federal Open Market Committee (FOMC) meeting. These eagerly anticipated documents, due today, October 8, 2025, are expected to cast a revealing light on the central bank's internal
Via MarketMinute · October 8, 2025
The sportswear company's recent quarterly report revealed positive surprises, but its struggles look likely to continue.
Via The Motley Fool · October 8, 2025
Nike offers a stable 2.25% dividend yield with a 10-year history of growth, backed by strong profitability and financial health for sustainable income.
Via Chartmill · October 8, 2025