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   <title>Share pullback in this Asian stock creates buying opportunity: Analyst</title>
   <link>http://www.streetinsider.com/Hot+List/Share+pullback+in+this+Asian+stock+creates+buying+opportunity%3A+Analyst/26758493.html</link>
   <description>&lt;p&gt;Jefferies analysts have highlighted a South Korean company’s stock that is down around 29% over the past six months, creating a buying opportunity despite investor concerns over a slowdown in the cornerstone business.&lt;/p&gt;&lt;p&gt;Naver (KRX: 035420) shares are rated Buy at the firm, with a price target of KRW 330,000, as the analysts believe that current levels reflect investor concerns, but not the value of new businesses.&lt;/p&gt;&lt;p&gt;The internet conglomerate’s shares rallied strongly in early June on “hopes of collaborations with Nvidia,” but gains were reversed following updates indicating earnings contributions would begin later than expected, the analysts said.&lt;/p&gt;&lt;p&gt;With shares trading at</description>
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   <pubDate>Sat, 11 Jul 2026 22:00:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	  </item>
  <item>
   <title>Share pullback in this Asian stock creates buying opportunity: Analyst</title>
   <link>http://www.streetinsider.com/Hot+List+Pro/Share+pullback+in+this+Asian+stock+creates+buying+opportunity%3A+Analyst/26758493.html</link>
   <description>&lt;p&gt;Jefferies analysts have highlighted a South Korean company’s stock that is down around 29% over the past six months, creating a buying opportunity despite investor concerns over a slowdown in the cornerstone business.&lt;/p&gt;&lt;p&gt;Naver (KRX: 035420) shares are rated Buy at the firm, with a price target of KRW 330,000, as the analysts believe that current levels reflect investor concerns, but not the value of new businesses.&lt;/p&gt;&lt;p&gt;The internet conglomerate’s shares rallied strongly in early June on “hopes of collaborations with Nvidia,” but gains were reversed following updates indicating earnings contributions would begin later than expected, the analysts said.&lt;/p&gt;&lt;p&gt;With shares trading at</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Hot+List+Pro/Share+pullback+in+this+Asian+stock+creates+buying+opportunity%3A+Analyst/26758493.html</guid>
   <pubDate>Sat, 11 Jul 2026 22:00:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	  </item>
  <item>
   <title>Citrini flags overheating concerns as leverage, chip rally weigh on KOSPI</title>
   <link>http://www.streetinsider.com/Investing/Citrini+flags+overheating+concerns+as+leverage%2C+chip+rally+weigh+on+KOSPI/26677985.html</link>
   <description>&lt;p&gt;Investing.com -- South Korea's KOSPI retreated on Monday as investors weighed a combination of technical, policy and sentiment-driven concerns after the market's recent sharp advance, according to Citrini Research.&lt;/p&gt;&lt;p data-start=&quot;290&quot; data-end=&quot;653&quot;&gt;The firm said leverage in the Korean equity market has risen to elevated levels, increasing the risk of volatility during any correction. Investors were also taking profits ahead of earnings from Micron Technology, with some buy-side investors believed to have built overly optimistic expectations for memory-chip demand and AI-related growth.&lt;/p&gt;&lt;p data-start=&quot;290&quot; data-end=&quot;653&quot;&gt;Analysts have said investors were growing cautious about stretched valuations following the market’s rapid ascent. The KOSPI remains up</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Investing/Citrini+flags+overheating+concerns+as+leverage%2C+chip+rally+weigh+on+KOSPI/26677985.html</guid>
   <pubDate>Tue, 23 Jun 2026 11:28:13 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	  </item>
  <item>
   <title>Citrini flags overheating concerns as leverage, chip rally weigh on KOSPI</title>
   <link>http://www.streetinsider.com/Trader+Talk/Citrini+flags+overheating+concerns+as+leverage%2C+chip+rally+weigh+on+KOSPI/26677985.html</link>
   <description>&lt;p&gt;Investing.com -- South Korea's KOSPI retreated on Monday as investors weighed a combination of technical, policy and sentiment-driven concerns after the market's recent sharp advance, according to Citrini Research.&lt;/p&gt;&lt;p data-start=&quot;290&quot; data-end=&quot;653&quot;&gt;The firm said leverage in the Korean equity market has risen to elevated levels, increasing the risk of volatility during any correction. Investors were also taking profits ahead of earnings from Micron Technology, with some buy-side investors believed to have built overly optimistic expectations for memory-chip demand and AI-related growth.&lt;/p&gt;&lt;p data-start=&quot;290&quot; data-end=&quot;653&quot;&gt;Analysts have said investors were growing cautious about stretched valuations following the market’s rapid ascent. The KOSPI remains up</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Trader+Talk/Citrini+flags+overheating+concerns+as+leverage%2C+chip+rally+weigh+on+KOSPI/26677985.html</guid>
   <pubDate>Tue, 23 Jun 2026 11:28:13 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	  </item>
  <item>
   <title>Ishares Msci South Korea Capped Etf (EWY) call put ratio 1 call to 1.5 puts as share price down 9.3%</title>
   <link>http://www.streetinsider.com/Options/Ishares+Msci+South+Korea+Capped+Etf+%28EWY%29+call+put+ratio+1+call+to+1.5+puts+as+share+price+down+9.3%25/26677767.html</link>
   <description>&lt;p&gt;Ishares Msci South Korea Capped Etf (NYSE: EWY) 30-day option implied volatility is at 91; compared to its 52-week range of 23 to 88. Call put ratio 1 call to 1.5 puts as share price down 9.3%.&lt;/p&gt;</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Options/Ishares+Msci+South+Korea+Capped+Etf+%28EWY%29+call+put+ratio+1+call+to+1.5+puts+as+share+price+down+9.3%25/26677767.html</guid>
   <pubDate>Tue, 23 Jun 2026 10:54:25 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	  </item>
  <item>
   <title>Ishares Msci South Korea Capped Etf (EWY) spreader of 10K contracts January 170 and 190 puts into Korean market lower</title>
   <link>http://www.streetinsider.com/Options/Ishares+Msci+South+Korea+Capped+Etf+%28EWY%29+spreader+of+10K+contracts+January+170+and+190+puts+into+Korean+market+lower/26674899.html</link>
   <description>&lt;p&gt;Ishares Msci South Korea Capped Etf (NYSE: EWY) 30-day option implied volatility is at 88; compared to its 52-week range of 23 to 88. Call put ratio 1 call to 2.9 puts a focus on a spreader of 10K contracts January 170 and 190 puts into Korean market lower.&lt;/p&gt;</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Options/Ishares+Msci+South+Korea+Capped+Etf+%28EWY%29+spreader+of+10K+contracts+January+170+and+190+puts+into+Korean+market+lower/26674899.html</guid>
   <pubDate>Tue, 23 Jun 2026 03:24:33 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	  </item>
  <item>
   <title>Why are stocks rallying despite Hormuz closure and stagflation risks? GS answers</title>
   <link>http://www.streetinsider.com/Investing/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</link>
   <description>&lt;p&gt;Investing.com -- Global equities are trading at highs even as the Straits of Hormuz remain closed, and the growth-inflation mix deteriorates, a situation Goldman Sachs says is explained primarily by corporate earnings.&lt;/p&gt;&lt;p&gt;In a note from analyst Peter Oppenheimer, Goldman said &quot;earnings growth is robust,&quot; driven by nominal global GDP growth estimated at 5.9% this year, up from 4.7% in 2025. &lt;/p&gt;&lt;p dir=&quot;ltr&quot;&gt;Technology and energy have been the two dominant forces, with bottom-up consensus estimates for S&amp;P 500 earnings per share in 2026 and 2027 each revised up by 8 percentage points so far this year, fueled largely by rising expectations</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Investing/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</guid>
   <pubDate>Tue, 19 May 2026 09:12:31 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">QQQ</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">SPY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">USO</category>
   	  </item>
  <item>
   <title>Why are stocks rallying despite Hormuz closure and stagflation risks? GS answers</title>
   <link>http://www.streetinsider.com/Trader+Talk/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</link>
   <description>&lt;p&gt;Investing.com -- Global equities are trading at highs even as the Straits of Hormuz remain closed, and the growth-inflation mix deteriorates, a situation Goldman Sachs says is explained primarily by corporate earnings.&lt;/p&gt;&lt;p&gt;In a note from analyst Peter Oppenheimer, Goldman said &quot;earnings growth is robust,&quot; driven by nominal global GDP growth estimated at 5.9% this year, up from 4.7% in 2025. &lt;/p&gt;&lt;p dir=&quot;ltr&quot;&gt;Technology and energy have been the two dominant forces, with bottom-up consensus estimates for S&amp;P 500 earnings per share in 2026 and 2027 each revised up by 8 percentage points so far this year, fueled largely by rising expectations</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Trader+Talk/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</guid>
   <pubDate>Tue, 19 May 2026 09:12:31 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">QQQ</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">SPY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">USO</category>
   	  </item>
  <item>
   <title>Why are stocks rallying despite Hormuz closure and stagflation risks? GS answers</title>
   <link>http://www.streetinsider.com/Investing/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</link>
   <description>&lt;p&gt;Investing.com -- Global equities are trading at highs even as the Straits of Hormuz remain closed, and the growth-inflation mix deteriorates, a situation Goldman Sachs says is explained primarily by corporate earnings.&lt;/p&gt;&lt;p&gt;In a note from analyst Peter Oppenheimer, Goldman said &quot;earnings growth is robust,&quot; driven by nominal global GDP growth estimated at 5.9% this year, up from 4.7% in 2025. &lt;/p&gt;&lt;p dir=&quot;ltr&quot;&gt;Technology and energy have been the two dominant forces, with bottom-up consensus estimates for S&amp;P 500 earnings per share in 2026 and 2027 each revised up by 8 percentage points so far this year, fueled largely by rising expectations</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Investing/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</guid>
   <pubDate>Tue, 19 May 2026 09:12:31 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">QQQ</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">SPY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">USO</category>
   	  </item>
  <item>
   <title>Why are stocks rallying despite Hormuz closure and stagflation risks? GS answers</title>
   <link>http://www.streetinsider.com/Trader+Talk/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</link>
   <description>&lt;p&gt;Investing.com -- Global equities are trading at highs even as the Straits of Hormuz remain closed, and the growth-inflation mix deteriorates, a situation Goldman Sachs says is explained primarily by corporate earnings.&lt;/p&gt;&lt;p&gt;In a note from analyst Peter Oppenheimer, Goldman said &quot;earnings growth is robust,&quot; driven by nominal global GDP growth estimated at 5.9% this year, up from 4.7% in 2025. &lt;/p&gt;&lt;p dir=&quot;ltr&quot;&gt;Technology and energy have been the two dominant forces, with bottom-up consensus estimates for S&amp;P 500 earnings per share in 2026 and 2027 each revised up by 8 percentage points so far this year, fueled largely by rising expectations</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Trader+Talk/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</guid>
   <pubDate>Tue, 19 May 2026 09:12:31 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">QQQ</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">SPY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">USO</category>
   	  </item>
  <item>
   <title>Why are stocks rallying despite Hormuz closure and stagflation risks? GS answers</title>
   <link>http://www.streetinsider.com/Investing/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</link>
   <description>&lt;p&gt;Investing.com -- Global equities are trading at highs even as the Straits of Hormuz remain closed, and the growth-inflation mix deteriorates, a situation Goldman Sachs says is explained primarily by corporate earnings.&lt;/p&gt;&lt;p&gt;In a note from analyst Peter Oppenheimer, Goldman said &quot;earnings growth is robust,&quot; driven by nominal global GDP growth estimated at 5.9% this year, up from 4.7% in 2025. &lt;/p&gt;&lt;p dir=&quot;ltr&quot;&gt;Technology and energy have been the two dominant forces, with bottom-up consensus estimates for S&amp;P 500 earnings per share in 2026 and 2027 each revised up by 8 percentage points so far this year, fueled largely by rising expectations</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Investing/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</guid>
   <pubDate>Tue, 19 May 2026 09:12:31 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">QQQ</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">SPY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">USO</category>
   	  </item>
  <item>
   <title>Why are stocks rallying despite Hormuz closure and stagflation risks? GS answers</title>
   <link>http://www.streetinsider.com/Trader+Talk/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</link>
   <description>&lt;p&gt;Investing.com -- Global equities are trading at highs even as the Straits of Hormuz remain closed, and the growth-inflation mix deteriorates, a situation Goldman Sachs says is explained primarily by corporate earnings.&lt;/p&gt;&lt;p&gt;In a note from analyst Peter Oppenheimer, Goldman said &quot;earnings growth is robust,&quot; driven by nominal global GDP growth estimated at 5.9% this year, up from 4.7% in 2025. &lt;/p&gt;&lt;p dir=&quot;ltr&quot;&gt;Technology and energy have been the two dominant forces, with bottom-up consensus estimates for S&amp;P 500 earnings per share in 2026 and 2027 each revised up by 8 percentage points so far this year, fueled largely by rising expectations</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Trader+Talk/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</guid>
   <pubDate>Tue, 19 May 2026 09:12:31 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">QQQ</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">SPY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">USO</category>
   	  </item>
  <item>
   <title>Why are stocks rallying despite Hormuz closure and stagflation risks? GS answers</title>
   <link>http://www.streetinsider.com/Investing/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</link>
   <description>&lt;p&gt;Investing.com -- Global equities are trading at highs even as the Straits of Hormuz remain closed, and the growth-inflation mix deteriorates, a situation Goldman Sachs says is explained primarily by corporate earnings.&lt;/p&gt;&lt;p&gt;In a note from analyst Peter Oppenheimer, Goldman said &quot;earnings growth is robust,&quot; driven by nominal global GDP growth estimated at 5.9% this year, up from 4.7% in 2025. &lt;/p&gt;&lt;p dir=&quot;ltr&quot;&gt;Technology and energy have been the two dominant forces, with bottom-up consensus estimates for S&amp;P 500 earnings per share in 2026 and 2027 each revised up by 8 percentage points so far this year, fueled largely by rising expectations</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Investing/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</guid>
   <pubDate>Tue, 19 May 2026 09:12:31 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">QQQ</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">SPY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">USO</category>
   	  </item>
  <item>
   <title>Why are stocks rallying despite Hormuz closure and stagflation risks? GS answers</title>
   <link>http://www.streetinsider.com/Trader+Talk/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</link>
   <description>&lt;p&gt;Investing.com -- Global equities are trading at highs even as the Straits of Hormuz remain closed, and the growth-inflation mix deteriorates, a situation Goldman Sachs says is explained primarily by corporate earnings.&lt;/p&gt;&lt;p&gt;In a note from analyst Peter Oppenheimer, Goldman said &quot;earnings growth is robust,&quot; driven by nominal global GDP growth estimated at 5.9% this year, up from 4.7% in 2025. &lt;/p&gt;&lt;p dir=&quot;ltr&quot;&gt;Technology and energy have been the two dominant forces, with bottom-up consensus estimates for S&amp;P 500 earnings per share in 2026 and 2027 each revised up by 8 percentage points so far this year, fueled largely by rising expectations</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Trader+Talk/Why+are+stocks+rallying+despite+Hormuz+closure+and+stagflation+risks%3F+GS+answers/26518640.html</guid>
   <pubDate>Tue, 19 May 2026 09:12:31 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">QQQ</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">SPY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">USO</category>
   	  </item>
  <item>
   <title>Goldman sees opportunities in underperforming Korean stocks</title>
   <link>http://www.streetinsider.com/General+News/Goldman+sees+opportunities+in+underperforming+Korean+stocks/26500971.html</link>
   <description>&lt;p&gt;Investing.com -- South Korea's KOSPI index fell 6% on Friday, wiping out weekly gains as the Trump-Xi Summit and strong foreign outflows weighed on the market, according to Goldman Sachs.&lt;/p&gt;&lt;p&gt;The Auto, Insurance and Telecom sectors outperformed this week, while Shipbuilding, Securities and Utilities sectors lagged. Foreign investors continued selling KOSPI stocks, with outflows concentrated in KOSPI Tech and Auto sectors.&lt;/p&gt;&lt;p&gt;The Korean won weakened 2.6% against the US dollar this week and declined 1.4% against both the Japanese yen and euro. The Korea Equity Risk Barometer stood at -0.9, remaining in risk-averse territory.&lt;/p&gt;&lt;p&gt;Despite the KOSPI's 78% year-to-date gain, only 68 out</description>
   <guid isPermaLink="true">http://www.streetinsider.com/General+News/Goldman+sees+opportunities+in+underperforming+Korean+stocks/26500971.html</guid>
   <pubDate>Fri, 15 May 2026 09:45:21 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	  </item>
  <item>
   <title>Strong iPhone sales should benefit these 3 Korean component suppliers</title>
   <link>http://www.streetinsider.com/Hot+List/Strong+iPhone+sales+should+benefit+these+3+Korean+component+suppliers/26463264.html</link>
   <description>&lt;p&gt;As the iPhone replacement cycle kicks in, Apple (NASDAQ: AAPL) posted strong Q2 results, with iPhone revenue up 22% year-on-year to a record high, while guidance for the next quarter also beat market expectations. And with the company guiding for strong iPhone sales and solid margins, analysts at Jefferies have highlighted three Korean component supplier stocks it expects will benefit.&lt;/p&gt;&lt;p&gt;For the Jan to March quarter, Apple posted revenue of $111.2 billion, up 17% YoY, and net profit of $29.6B, up 19% YoY. This strong performance came despite supply constraints, even as the company was unable to fully meet demand.&lt;/p&gt;&lt;p&gt;All of</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Hot+List/Strong+iPhone+sales+should+benefit+these+3+Korean+component+suppliers/26463264.html</guid>
   <pubDate>Sat, 09 May 2026 10:00:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">AAPL</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	  </item>
  <item>
   <title>Strong iPhone sales should benefit these 3 Korean component suppliers</title>
   <link>http://www.streetinsider.com/Hot+List+Pro/Strong+iPhone+sales+should+benefit+these+3+Korean+component+suppliers/26463264.html</link>
   <description>&lt;p&gt;As the iPhone replacement cycle kicks in, Apple (NASDAQ: AAPL) posted strong Q2 results, with iPhone revenue up 22% year-on-year to a record high, while guidance for the next quarter also beat market expectations. And with the company guiding for strong iPhone sales and solid margins, analysts at Jefferies have highlighted three Korean component supplier stocks it expects will benefit.&lt;/p&gt;&lt;p&gt;For the Jan to March quarter, Apple posted revenue of $111.2 billion, up 17% YoY, and net profit of $29.6B, up 19% YoY. This strong performance came despite supply constraints, even as the company was unable to fully meet demand.&lt;/p&gt;&lt;p&gt;All of</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Hot+List+Pro/Strong+iPhone+sales+should+benefit+these+3+Korean+component+suppliers/26463264.html</guid>
   <pubDate>Sat, 09 May 2026 10:00:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">AAPL</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	  </item>
  <item>
   <title>Strong iPhone sales should benefit these 3 Korean component suppliers</title>
   <link>http://www.streetinsider.com/Hot+List/Strong+iPhone+sales+should+benefit+these+3+Korean+component+suppliers/26463264.html</link>
   <description>&lt;p&gt;As the iPhone replacement cycle kicks in, Apple (NASDAQ: AAPL) posted strong Q2 results, with iPhone revenue up 22% year-on-year to a record high, while guidance for the next quarter also beat market expectations. And with the company guiding for strong iPhone sales and solid margins, analysts at Jefferies have highlighted three Korean component supplier stocks it expects will benefit.&lt;/p&gt;&lt;p&gt;For the Jan to March quarter, Apple posted revenue of $111.2 billion, up 17% YoY, and net profit of $29.6B, up 19% YoY. This strong performance came despite supply constraints, even as the company was unable to fully meet demand.&lt;/p&gt;&lt;p&gt;All of</description>
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   <pubDate>Sat, 09 May 2026 10:00:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">AAPL</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	  </item>
  <item>
   <title>Strong iPhone sales should benefit these 3 Korean component suppliers</title>
   <link>http://www.streetinsider.com/Hot+List+Pro/Strong+iPhone+sales+should+benefit+these+3+Korean+component+suppliers/26463264.html</link>
   <description>&lt;p&gt;As the iPhone replacement cycle kicks in, Apple (NASDAQ: AAPL) posted strong Q2 results, with iPhone revenue up 22% year-on-year to a record high, while guidance for the next quarter also beat market expectations. And with the company guiding for strong iPhone sales and solid margins, analysts at Jefferies have highlighted three Korean component supplier stocks it expects will benefit.&lt;/p&gt;&lt;p&gt;For the Jan to March quarter, Apple posted revenue of $111.2 billion, up 17% YoY, and net profit of $29.6B, up 19% YoY. This strong performance came despite supply constraints, even as the company was unable to fully meet demand.&lt;/p&gt;&lt;p&gt;All of</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Hot+List+Pro/Strong+iPhone+sales+should+benefit+these+3+Korean+component+suppliers/26463264.html</guid>
   <pubDate>Sat, 09 May 2026 10:00:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">AAPL</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	  </item>
  <item>
   <title>Morgan Stanley: 'Hedge funds started to de-gross from the fourth week post Middle East disruptions'</title>
   <link>http://www.streetinsider.com/Analyst+Comments/Morgan+Stanley%3A+%27Hedge+funds+started+to+de-gross+from+the+fourth+week+post+Middle+East+disruptions%27/26285361.html</link>
   <description>&lt;p&gt;Morgan Stanley: 'Hedge funds started to de-gross from the fourth week post Middle East disruptions'.&lt;/p&gt;&lt;p&gt;The analyst comments &quot;Hedge funds started to de-gross from the fourth week post Middle East disruptions: According to our PB Content Group, hedge funds started to de-gross from the fourth week in March and selling continued in the week ending on April 3. Reduction in directional exposure was led by Korea and China A shares. Tech/Semis continued to drive the bulk of outflows in AxJ last week driven by both long unwinds and short additions, though gross and net exposure of the IT sector still stands</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Analyst+Comments/Morgan+Stanley%3A+%27Hedge+funds+started+to+de-gross+from+the+fourth+week+post+Middle+East+disruptions%27/26285361.html</guid>
   <pubDate>Wed, 08 Apr 2026 05:23:34 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWJ</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">EWT</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">SPY</category>
   	  </item>
  <item>
   <title>Morgan Stanley: 'Hedge funds started to de-gross from the fourth week post Middle East disruptions'</title>
   <link>http://www.streetinsider.com/Analyst+Comments/Morgan+Stanley%3A+%27Hedge+funds+started+to+de-gross+from+the+fourth+week+post+Middle+East+disruptions%27/26285361.html</link>
   <description>&lt;p&gt;Morgan Stanley: 'Hedge funds started to de-gross from the fourth week post Middle East disruptions'.&lt;/p&gt;&lt;p&gt;The analyst comments &quot;Hedge funds started to de-gross from the fourth week post Middle East disruptions: According to our PB Content Group, hedge funds started to de-gross from the fourth week in March and selling continued in the week ending on April 3. Reduction in directional exposure was led by Korea and China A shares. Tech/Semis continued to drive the bulk of outflows in AxJ last week driven by both long unwinds and short additions, though gross and net exposure of the IT sector still stands</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Analyst+Comments/Morgan+Stanley%3A+%27Hedge+funds+started+to+de-gross+from+the+fourth+week+post+Middle+East+disruptions%27/26285361.html</guid>
   <pubDate>Wed, 08 Apr 2026 05:23:34 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWJ</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">EWT</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">SPY</category>
   	  </item>
  <item>
   <title>Morgan Stanley: 'Hedge funds started to de-gross from the fourth week post Middle East disruptions'</title>
   <link>http://www.streetinsider.com/Analyst+Comments/Morgan+Stanley%3A+%27Hedge+funds+started+to+de-gross+from+the+fourth+week+post+Middle+East+disruptions%27/26285361.html</link>
   <description>&lt;p&gt;Morgan Stanley: 'Hedge funds started to de-gross from the fourth week post Middle East disruptions'.&lt;/p&gt;&lt;p&gt;The analyst comments &quot;Hedge funds started to de-gross from the fourth week post Middle East disruptions: According to our PB Content Group, hedge funds started to de-gross from the fourth week in March and selling continued in the week ending on April 3. Reduction in directional exposure was led by Korea and China A shares. Tech/Semis continued to drive the bulk of outflows in AxJ last week driven by both long unwinds and short additions, though gross and net exposure of the IT sector still stands</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Analyst+Comments/Morgan+Stanley%3A+%27Hedge+funds+started+to+de-gross+from+the+fourth+week+post+Middle+East+disruptions%27/26285361.html</guid>
   <pubDate>Wed, 08 Apr 2026 05:23:34 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWJ</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">EWT</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">SPY</category>
   	  </item>
  <item>
   <title>Morgan Stanley: 'Hedge funds started to de-gross from the fourth week post Middle East disruptions'</title>
   <link>http://www.streetinsider.com/Analyst+Comments/Morgan+Stanley%3A+%27Hedge+funds+started+to+de-gross+from+the+fourth+week+post+Middle+East+disruptions%27/26285361.html</link>
   <description>&lt;p&gt;Morgan Stanley: 'Hedge funds started to de-gross from the fourth week post Middle East disruptions'.&lt;/p&gt;&lt;p&gt;The analyst comments &quot;Hedge funds started to de-gross from the fourth week post Middle East disruptions: According to our PB Content Group, hedge funds started to de-gross from the fourth week in March and selling continued in the week ending on April 3. Reduction in directional exposure was led by Korea and China A shares. Tech/Semis continued to drive the bulk of outflows in AxJ last week driven by both long unwinds and short additions, though gross and net exposure of the IT sector still stands</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Analyst+Comments/Morgan+Stanley%3A+%27Hedge+funds+started+to+de-gross+from+the+fourth+week+post+Middle+East+disruptions%27/26285361.html</guid>
   <pubDate>Wed, 08 Apr 2026 05:23:34 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWJ</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">EWT</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">SPY</category>
   	  </item>
  <item>
   <title>NHK News Says N. Korea Launched Possible Missile, Landed Outside Japan Economic Zone</title>
   <link>http://www.streetinsider.com/Trader+Talk/NHK+News+Says+N.+Korea+Launched+Possible+Missile%2C+Landed+Outside+Japan+Economic+Zone/26161248.html</link>
   <description>&lt;p&gt;NHK News Says N. Korea Launches Possible Missile, Landed Outside Japan Economic Zone.&lt;/p&gt;&lt;ul&gt;&lt;li&gt;&quot;The Japan Coast Guard announced at 1:30 p.m. on Saturday that what appeared to be a ballistic missile was launched from North Korea, citing defense ministry information.&quot;&lt;/li&gt;&lt;li&gt;https://www3.nhk.or.jp/nhkworld/en/news/20260314_08/&lt;/li&gt;&lt;/ul&gt;</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Trader+Talk/NHK+News+Says+N.+Korea+Launched+Possible+Missile%2C+Landed+Outside+Japan+Economic+Zone/26161248.html</guid>
   <pubDate>Sat, 14 Mar 2026 06:28:39 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">FLKR</category>
   	  </item>
  <item>
   <title>NHK News Says N. Korea Launched Possible Missile, Landed Outside Japan Economic Zone</title>
   <link>http://www.streetinsider.com/Trader+Talk/NHK+News+Says+N.+Korea+Launched+Possible+Missile%2C+Landed+Outside+Japan+Economic+Zone/26161248.html</link>
   <description>&lt;p&gt;NHK News Says N. Korea Launches Possible Missile, Landed Outside Japan Economic Zone.&lt;/p&gt;&lt;ul&gt;&lt;li&gt;&quot;The Japan Coast Guard announced at 1:30 p.m. on Saturday that what appeared to be a ballistic missile was launched from North Korea, citing defense ministry information.&quot;&lt;/li&gt;&lt;li&gt;https://www3.nhk.or.jp/nhkworld/en/news/20260314_08/&lt;/li&gt;&lt;/ul&gt;</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Trader+Talk/NHK+News+Says+N.+Korea+Launched+Possible+Missile%2C+Landed+Outside+Japan+Economic+Zone/26161248.html</guid>
   <pubDate>Sat, 14 Mar 2026 06:28:39 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">EWY</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">FLKR</category>
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