Hormuz Tensions Threaten Oil Supply Recovery, Goldman Warns
Goldman Sachs flags the Hormuz flare-up as a key risk to oil supply recovery, signaling potential upside for crude prices.
Goldman Sachs flags the Hormuz flare-up as a key risk to oil supply recovery, signaling potential upside for crude prices.
Luxury car marketplace DuPont Registry Group is moving forward with its IPO by selecting underwriting banks, a bet on the resilience of…
Goldman Sachs says the wave of earnings beats may be over, warning that US equities face less support from corporate profits as…
Goldman Sachs predicts earnings growth will drive additional upside in asset-heavy stocks, favoring industrial, energy, and materials sectors in the near term.
Aluminum and copper rallied as fading Fed rate hike expectations eased demand worries, even as Goldman Sachs cautioned that a quicker-than-expected supply…
Goldman Sachs cuts yen forecast to 165 per dollar, boosting carry trade appeal as hawkish Fed and dovish BOJ widen yield gaps.
A $22 million funding round for an AI startup by an ex-Goldman Sachs analyst highlights sustained investor enthusiasm for artificial intelligence ventures,…
Goldman Sachs forecasts an oil market oversupply by late 2026 due to surging non-OPEC output and weakening demand, threatening to push Brent…
Goldman Sachs flags a 2026 oil surplus as OPEC+ and US shale supply flood the market, overwhelming demand and strategic stockpile purchases,…
JPMorgan and Goldman Sachs spar over capital changes, highlighting a rift in Wall Street's regulatory strategy.
Goldman Sachs strategist Snider forecasts a robust US Q2 earnings season fueled by artificial intelligence, with tech profits surging and AI efficiency…
Goldman Sachs backs India's 30-year sovereign bonds, projecting yield compression as the Iran war's limited fallout keeps oil prices stable and sustains…