
Asian Stocks Climb as BOJ Holds Rates and Global Tensions Ease
Investors digest Japan’s policy stance, election risks, and shifting bond yields across the region
249 articles

Investors digest Japan’s policy stance, election risks, and shifting bond yields across the region

AI driven server demand and renewed confidence in Intel’s turnaround fuel a sharp rally

Global stocks rebound after Trump softens tariff stance and calms Greenland concerns, lifting investor sentiment across Asia

Jeep and Ram take center stage as new CEO reshapes priorities after a turbulent post-merger run

Kimi chatbot maker is now valued at nearly $5 billion as investor appetite surges following strong Hong Kong listings by rival AI firms

Explosive turnover and rising leverage prompt regulators to step in, even as many investors insist the bull market still has room to run

Greenland-related trade threats add to uncertainty as mixed Chinese indicators and surging Japanese bond yields weigh on regional markets

Revised offer sparks investor optimism and fuels speculation of a higher price as activists circle one of Japan’s largest takeover deals

Beijing targets alleged monopoly behavior at Asia’s largest online travel platform, triggering one of the company’s worst trading days on record

Investors pile into equities on expectations of a February vote, aggressive stimulus plans, and continued yen weakness

Asia markets climb as political clarity hopes in Japan outweigh geopolitical tensions and rising oil prices

Investors bet on sanctions relief, oil sector revival, and debt restructuring following a dramatic political shift

The fuel-cell specialist has become a frontline beneficiary of AI’s energy crunch, testing whether today’s optimism is growth—or a bubble

South Korea’s Hanwha Aerospace leads a broad rally in regional defense names, while Asian markets trade mixed amid inflation data from China, weakness in mining stocks, and a rotation away from U.S. technology shares.

Investors navigate geopolitical risk, energy price swings and uneven regional equities following U.S. market losses

Markets weigh geopolitical headlines against underlying economic fundamentals as gold surges and oil remains steady