Nucor Corp (NUE)
133.65
-4.52 (-3.27%)
NYSE · Last Trade: Oct 10th, 9:11 PM EDT
Financial markets are on high alert as global commodity prices exhibit extreme volatility on October 10, 2025, with investors and traders keenly awaiting crucial reports such as the OPEC Monthly Oil Market Report and the latest U.S. construction spending data. A complex web of geopolitical tensions, strategic resource competition,
Via MarketMinute · October 10, 2025
In a significant return to protectionist trade policies during his second term, former President Donald Trump's administration has once again unleashed a torrent of tariff threats and implementations, sending shockwaves through global commodity markets. These aggressive measures, primarily aimed at rebalancing trade relationships and bolstering domestic industries, have ignited widespread
Via MarketMinute · October 10, 2025
Peoria, IL – October 10, 2025 – In a significant display of investor confidence, shares of Caterpillar Inc. (NYSE: CAT), the global manufacturing behemoth, surged to an unprecedented all-time high of $509.5 USD today, October 10, 2025. This landmark achievement marks a culmination of robust financial performance, strategic market positioning, and
Via MarketMinute · October 10, 2025
Buffett is finding more value in today's market, but this one stands out as an exceptional bargain.
Via The Motley Fool · October 9, 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
As of October 9, 2025, the American financial landscape remains profoundly influenced by the enduring legacy of Trump-era tariffs and the recurring specter of government shutdowns. A significant federal government shutdown, commencing on October 1st, has added a fresh layer of uncertainty to an economy already grappling with the complex
Via MarketMinute · October 9, 2025
ArcelorMittal SA ADR (NYSE: MT), one of the world's leading steel and mining companies, has achieved a significant milestone, with its stock price hitting a 52-week high of $40.45 USD around October 8, 2025. This surge underscores a period of strong performance for the steel giant, signaling robust investor
Via MarketMinute · October 8, 2025
Via The Motley Fool · October 7, 2025
Industrial stocks have started to pick up the pace in terms of price action, yet they are not even close to pricing in the growth potential
Via MarketBeat · October 4, 2025
Via Benzinga · October 3, 2025
AZZ Inc. (NYSE: AZZ), a leading provider of hot-dip galvanizing and coil coating solutions, has declared a quarterly cash dividend of $0.20 per share, reinforcing its commitment to delivering consistent shareholder value. The announcement, made on October 2, 2025, by the company's Board of Directors, sets the stage for
Via MarketMinute · October 2, 2025
Cleveland-Cliffs is losing money as the steel industry deals with a downturn, which is exactly why you might want to buy it.
Via The Motley Fool · October 1, 2025
As the financial markets close on September 30, 2025, the Materials sector presents a complex and bifurcated picture, reflecting the ongoing tug-of-war between global economic uncertainties and the powerful, long-term tailwinds of the energy transition and infrastructure development. While immediate concerns about a global economic slowdown and persistent inflationary pressures
Via MarketMinute · September 30, 2025
Dallas, TX – September 30, 2025 – Commercial Metals Company (NYSE: CMC) has announced its intention to appeal an adverse ruling in the long-running Pacific Steel Group (PSG) litigation. This decision comes after a U.S. District Court upheld a November 2024 jury verdict that found CMC liable for antitrust violations, potentially
Via MarketMinute · September 30, 2025
The financial markets find themselves in turbulent waters as global trade tensions, fueled by escalating tariffs, continue to send shockwaves through stock futures. What began as targeted duties in early 2025 has rapidly metastasized into a sweeping "tariff tidal wave," fundamentally altering the landscape for multinational corporations, supply chains, and
Via MarketMinute · September 30, 2025
The global financial markets are currently navigating a tumultuous period, largely driven by an escalating wave of new trade tariffs. As of September 30, 2025, a series of aggressive trade policy decisions, primarily initiated by the United States under President Donald Trump's administration, have sent significant ripples across stock futures,
Via MarketMinute · September 30, 2025
As of September 2025, the trade policies initiated by former President Donald Trump continue to cast a long shadow over global markets and the economy, fundamentally altering trade flows, supply chains, and influencing investor decisions worldwide. While the immediate shocks of their imposition have largely been absorbed, the long-term ramifications
Via MarketMinute · September 29, 2025
These Buffett gems are primed for big things to come.
Via The Motley Fool · September 29, 2025
It can't hurt to see where the smart money is going.
Via The Motley Fool · September 23, 2025
As the financial world awaits the official release of Worthington Enterprises' (NYSE: WOR) fiscal first-quarter 2026 earnings report, scheduled for after market close on September 23, 2025, the industrial and materials sectors are holding their breath. This report is poised to offer critical insights into the health and trajectory of
Via MarketMinute · September 23, 2025
Global financial markets are currently navigating a turbulent landscape, with escalating geopolitical tensions emerging as a primary catalyst for heightened volatility. From contentious trade disputes and significant shifts in immigration policies to active international conflicts and pervasive political instability, these multifaceted challenges are reshaping investor sentiment, disrupting intricate supply chains,
Via MarketMinute · September 23, 2025
In a rapidly evolving global energy landscape, ExxonMobil (NYSE: XOM) is forging a distinct path, aiming to reconcile the world's enduring demand for traditional fossil fuels with the imperative of a lower-carbon future. The energy giant is executing a long-term strategy that meticulously balances its robust upstream oil and gas
Via MarketMinute · September 22, 2025
Benzinga examined the prospects for many investors' favorite stocks over the last week — here's a look at some of our top stories.
Via Benzinga · September 20, 2025
The global economic landscape is increasingly shaped by the imposing shadow of tariffs, a macroeconomic lever wielded by nations to reshape trade balances and bolster domestic industries. Recent widespread tariff implementations, particularly from the United States, have sent ripples through international commerce, stirring concerns over decelerating GDP growth, escalating consumer
Via MarketMinute · September 19, 2025