NYSE:MS
NYSE:MSCapital Markets

Will Morgan Stanley’s (MS) New Debt Offerings Reveal Its Evolving Approach to Long-Term Capital Strategy?

Morgan Stanley recently completed and announced a series of fixed-income offerings, including both floating rate and fixed rate notes with maturities ranging from 2028 to 2045, raising several million US dollars through senior unsecured corporate bonds. This move underscores the bank’s proactive approach to capital management and signals ongoing demand for its debt instruments across a range of maturities and structures. We'll explore how this expanded fixed-income issuance may influence...
NYSE:BLK
NYSE:BLKCapital Markets

How BlackRock’s (BLK) New Active Infrastructure ETF Strengthens Its Global Diversification Strategy

On July 31, 2025, BlackRock launched the iShares Infrastructure Active ETF, offering global exposure to 50-60 listed infrastructure companies spanning sectors such as transportation, energy, and logistics through an actively managed ETF structure. This ETF capitalizes on rising long-term global infrastructure investment trends driven by data center expansion, energy independence, and supply chain modernization, while highlighting BlackRock’s ability to identify and implement emerging sector...
NYSE:V
NYSE:VDiversified Financial

Is Visa’s (V) Profit Surge and Buyback Momentum Shaping a New Capital Allocation Narrative?

Visa recently reported third quarter results, with sales reaching US$10.17 billion and net income of US$5.27 billion, alongside ongoing share repurchase activity and a newly affirmed quarterly dividend. This combination of strong earnings growth and continued capital returns underlines Visa's emphasis on both operational performance and shareholder value. We'll examine how Visa's robust profit growth and aggressive buyback pace are shaping the company's updated investment narrative. We've...
NasdaqGS:HOOD
NasdaqGS:HOODCapital Markets

Should Robinhood's (HOOD) Lower Earnings and Major Buyback Prompt Action From Investors?

Robinhood Markets recently reported second quarter 2025 earnings, showing revenue of US$682 million and net income of US$188 million, both decreasing compared to the same period last year. Alongside the earnings announcement, the company disclosed the completion of a substantial share repurchase, totaling over 20.5 million shares for US$702.81 million since May 2024. We'll explore how Robinhood's combination of lower earnings and ongoing share buybacks could influence its overall investment...
NasdaqGS:NFLX
NasdaqGS:NFLXEntertainment

What Netflix (NFLX)'s Global Launch of Korean Thriller 'Trigger' Means for Shareholders

On July 25, 2025, Netflix globally premiered 'Trigger,' a ten-episode disaster-action thriller produced by KWave Media's Film Company Bidangil Pictures, shortly after KWave Media's Nasdaq listing. This collaboration showcases Netflix's continued expansion into original international content, setting a new standard for Korean thrillers and strengthening its appeal among global audiences seeking premium K-content. We'll explore how the global launch of 'Trigger' could influence Netflix's...
NYSE:SPGI
NYSE:SPGICapital Markets

S&P Global (SPGI) Is Up 6.1% After Raising Revenue Outlook and Signing Barclays Agreement – What's Changed

In late July 2025, S&P Global announced second-quarter results showing year-over-year increases in sales and net income, alongside a revised full-year earnings outlook that lowered GAAP diluted EPS expectations despite stronger anticipated revenue in several core segments. A new multi-year agreement with Barclays was also revealed, positioning S&P Global to further enhance its product offerings and data services through expanded collaboration. We’ll explore how resilient revenue growth...
NasdaqGS:MSTR
NasdaqGS:MSTRSoftware

How Investors Are Reacting To MicroStrategy (MSTR) Profit Rebound and New Preferred Stock Dividends

MicroStrategy recently reported second quarter earnings, issued robust 2025 profit guidance projecting US$24 billion net income, and announced major preferred stock offerings with a new monthly dividend for holders. Remarkably, the company's quarterly results reflect a dramatic turnaround from a net loss last year to very large net income, underscoring significant changes to its financial profile and capital-raising strategy. We'll examine how MicroStrategy's strong full-year profit outlook...