
Private-Credit Firms Clamp Down on Loan Sweeteners in Fear of ‘Shadow Defaults'
Borrowers have delayed interest payments on billions of dollars of loans, raising concerns that defaults are higher than reported.
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Borrowers have delayed interest payments on billions of dollars of loans, raising concerns that defaults are higher than reported.

Currency markets are testing support areas in early Tuesday trading. At this point, the interest rates in America continue to play a big part.

U.S. existing-home sales remained near historically low levels in July as fluctuating mortgage rates continued to weigh on demand.

What matters in U.S. and global markets today. With U.S. Treasuries on tenterhooks ahead of tomorrow's big inflation report, the renewed tightening of energy markets is adding to the tension, with Brent crude trading at nearly $90 a barrel on Tuesday after rising 5% yesterday.

There are numerous indicators that the market may be in a bubble. I share an often overlooked chart that indicates a potential pullback could be swift and severe.

Canada's post-2008 playbook shows the volatility risks of Warsh's no-guidance Fed.

Ahead of the bell The Nasdaq is expected to lead a tentative recovery on Wall Street when trading gets underway, with investors on edge ahead of the release of July CPI data tomorrow. Nasdaq futures point to a 0.3% gain, S&P 500 futures are up 0.2%, and Dow futures are 0.1% higher.

Arko Corp. remains a 'Buy' despite operational weakness and market skepticism following the USPP acquisition and a disappointing quarter. ARKO's acquisition of USPP adds 280 million gallons in wholesale fuel volume but raises leverage to 3–3.5x EBITDA, reigniting concerns over asset intensity. Retail fuel volume declined 5.7%, pressuring EBITDA, but wholesale expansion is seen as a buffer against retail headwinds.

CNBC's Diana Olick sits down with Brookfield Global Real Estate CEO Lowell Baron.

Vanguard Total International Stock Index Fund is up 15.7% year to date, maintaining a moderate premium over the U.S. stock market's 14.0% gain via the SPDR S&P 500 ETF. But the return spread is narrowing, and the recent surge in U.S. stocks could be an early sign that international equities will soon fall behind in relative terms.

Oil prices are rising amid geopolitical tensions, low reserves, and approaching U.S. elections, creating economic headwinds. AI-related tech stocks continue to post strong earnings and revenue, but investor scrutiny is increasing, with sector valuations now more in line with the market.

Singapore's Sea Ltd beat estimates for quarterly revenue on Tuesday, powered by growth at its e-commerce business led by Shopee and rising demand for its financial services.

Julian Emanuel, Evercore chief equity, derivatives and quantitative strategist, joins 'Squawk Box' to discuss the latest market trends, state of the AI boom, the Fed's interest rate outlook, and more.

The National Federation of Independent Business said that its small-business optimism index rose to 99.8, its highest level since August 2025.

Hyperscalers are betting on AGI and singularity, that's when AI capex pays off. OpenAI is working on the new LLM model Astra, which some say could be the first sign on AGI, while the critics have doubts.