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Source document· April 19, 2026

The S&P 500 and Nasdaq Composite Just Hit Record Highs -- but Wall Street's 2 Biggest Risk Factors Keep Getting Worse

View original at nasdaq.com
The S&P 500 and Nasdaq Composite Just Hit Record Highs -- but Wall Street's 2 Biggest Risk Factors Keep Getting Worse Key Points In less than three weeks, the Nasdaq Composite's correction and the S&P 500's pullback were completely erased…
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Lo que extrajimos de esta fuente

The claims Via News extracted from this document. We point to the source; we don't replace it.

  • There is one little-known company called an 'Indispensable Monopoly' providing the critical technology Nvidia and Intel both need

    60% confidence
  • A historically expensive stock market just became even pricier

    60% confidence
  • Investors are anticipating a quick end to the Iran war

    60% confidence
  • The 10 stocks selected by Stock Advisor could produce monster returns in the coming years

    60% confidence
  • Even if the Iran conflict ends quickly, inflationary effects are likely to ripple through the U.S. economy for several quarters to come

    60% confidence
  • The near-term outlook for the stock market continues to worsen, despite the strength that the major indexes have exhibited over the last couple of weeks

    60% confidence
  • The Strait of Hormuz closure represents the largest energy supply disruption in modern history

    60% confidence
  • The inflationary effects of President Donald Trump's actions are likely to ripple through the economy for some time

    60% confidence
  • When the S&P 500's Shiller P/E becomes extended to current levels, declines of at least 20%, if not substantially more, have become the expectation based on history

    60% confidence
  • The odds have shifted away from the FOMC cutting rates in 2026 to raising them before the year ends

    60% confidence

Data points we hold from this source

Dow Jones Industrial Average · distance from record close3 percent
S&P 500 · total return comparison199 percent
S&P 500 · shiller pe ratio40.57 ratio
S&P 500 · shiller pe ratio historical average17.35 ratio
Lo que sabemos · la inteligencia detrás de esta página
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Obesity and Immunology Readouts, Big Pharma M&A and AI-Designed Drugs Converge Into a Q4 2026 Catalyst Wave
Late-stage data and deal activity are clustering ahead of Q4 2026. Novo Nordisk's CagriSema won Best Abstract at EASD 2026 for its brain and body (fMRI/MRI) data, Lilly showed ADtouch results for EBGLYSS and agreed to buy Merida Biosciences for $2.9B, and Merck's tulisokibart hit its Phase 2b endpoints. A key regulatory catalyst follows: the FDA PDUFA date for the ivonescimab BLA on 2026-11-14. AI-designed rentosertib showing anti-aging effects adds a speculative AI-drug-discovery thread, while QAIAx's microcities trial and QIII pilot (planned 2027-01-01) are peripheral, forecast-only items.
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Señales que seguimos
Satellite-Terrestrial Network Integration Acceleration
Increased investment and launches in hybrid satellite-cellular networks across telecom industry; competitive responses from other carriers; regulatory activity around satellite spectrum; expansion of emergency/rural connectivity use cases
Patrones que observamos ›
Donde las fuentes discrepan
ING Group
Both facts record the same metric (shares_outstanding) for ING Group at the identical observation date (2025-12-31). FACT A states 2,902,437,688 shares; FACT B states 2,902 million shares (2,902,000,000). The difference is 437,688 shares (~0.015%). This is a genuine value conflict, though the discrepancy appears to result from FACT B rounding to the nearest million while FACT A provides the precise count.
Señalamos los conflictos abiertamente ›
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