US Stock Live

Provides US stock live view service, real-time tracking of US stock quotes, hot stocks, three major index trends, and financial news, helping users quickly get the latest US stock dynamics and investment references.

US Treasury yield curve inversion narrows to 12 basis points; three major stock indexes fluctuate higher intraday, with early signals of value stock rotation

On August 6, 2026, a key shift occurred in the US Treasury yield curve as the 2-year/10-year spread narrowed to 12 bps, the steepest since 2024. The three major indexes all closed higher after choppy trading, with the Dow leading and energy and financials outperforming while tech was mixed. Analysts believe the curve shape change may signal a repricing of US economic prospects; investors should watch for allocation opportunities amid sector rotation.

Amazon Q2 earnings beat expectations across the board; cloud business returns to high growth; Nasdaq futures climb after hours.

Amazon released its Q2 fiscal-year 2026 earnings report, with revenue and profit both beating expectations and strong growth in AWS cloud services; shares jumped over 4% after hours. This article provides an in-depth interpretation of the report's key highlights, the cloud competitive landscape, and ripple effects on US tech stocks, offering investors a multi-dimensional reference.

Pfizer Weight-Loss Drug Clinical Data Beat Expectations, US Pharma Stocks Rally, S&P 500 Futures Rise

In premarket trading today, Pfizer announced latest Phase III data for its oral weight-loss drug, with weight-loss results beating expectations and shares jumping nearly 15%. Eli Lilly, Novo Nordisk and other weight-loss drug stocks were active, the US pharma sector strengthened broadly, and all three major index futures rose. This article analyzes the market reaction and industry outlook for investors.

Alibaba announces $30B buyback plan; Chinese stocks rally

On July 30, 2026, Alibaba announced a record $30 billion share buyback, boosting Chinese ADRs. Pinduoduo, JD, Baidu rose over 3%. Analysts cite confidence in long-term value and domestic consumption recovery, suggesting valuation repair may continue. Details on buyback, market reaction, and investment strategy.

Fed holds steady in July, hints at September cut; three indexes mixed, tech stocks under pressure

The Fed kept rates unchanged after its July meeting but shifted to a dovish tone, hinting at a possible rate cut in September. US stocks were mixed: the Dow edged up while the Nasdaq fell on tech valuation pressures. Markets expect a rate-cut cycle to begin, but inflation rebound risks remain.

US Q2 GDP Surges 3.2%, Stocks Rally, Tech Leads

On July 28, 2026, US Q2 GDP annualized quarterly rate beat estimates at 3.2% (vs 2.8% expected). US stocks opened higher, tech led, boosting soft-landing hopes. High inflation persisted, but GDP data eased recession fears, giving Fed room for policy adjustment.

US Stocks Live: Tech Earnings Shine, Nasdaq Up >1%; Market Eyes Fed's Latest Remarks

July 27, 2026: US tech earnings beat expectations, Nasdaq up >1% intraday, Dow slightly weaker. Market focuses on Fed rate decision; tech giants' results diverge driving capital rotation. This article reviews the day's action, interpreting tech valuation logic and macro risks with industry data.

Earnings Boost Confidence: Bank of America Stock Rises 1.6% Pre-Market, Performance Logic and Industry Insights

Bank of America's Q2 earnings beat expectations, with net interest income up 6.8%, driving a 1.6% pre-market stock rise. This article analyzes the drivers from financial data, market pricing, peer comparison, and macro backdrop, exploring investor insights.

Red Chip News: Chen Shenghui Says Global Steel Growth Slows, Asia Still Supportive

At Singapore International Ferrous Week, Chen Shenghui said the 2026 global steel demand growth forecast is cut to 0.3%. Near-term pressures persist but Asia remains resilient, boosting Singapore's hub role and low-carbon transition.

Iran Oil Exemption: 60-Day Window Stirs Oil Market

The US approved a 60-day exemption for Iranian oil, putting international oil prices under pressure. This article analyzes the impact on Iran's exports, crude supply, global supply-demand balance, and geopolitical risks, interpreting the subsequent oil market trend.