Against the same-window beat baseline of 27% negative, this entity's 57% share is more negative. The 54-day window averages about 0.9 stories each week. The busiest single day carried 3. Iran is the most frequent co-covered peer, appearing in 2 of the 7 tracked stories.
Figures are computed live from our source-verified story record
— see our methodology for how impact and
sentiment are derived.
What the coverage shows about President Donald Trump
Against the same-window beat baseline of 27% negative, this entity's 57% share is more negative. The 54-day window averages about 0.9 stories each week. The busiest single day carried 3. Iran is the most frequent co-covered peer, appearing in 2 of the 7 tracked stories. The clearest coverage concentration is economy: 2 of 7 stories, with the rest divided among 3 other categories. Their average consequence score of 6.6 runs above the beat's 6.3 for that window. Source depth averages 3.3 original sources per story, versus 3 across the same-window beat baseline. This profile follows 7 Finance stories mentioning President Donald Trump across the period from June 15, 2026 to August 7, 2026.
Stories tracked
7
Per week
0.9
Negative
57%
Sources per story
3.3
Computed from the 7 stories linked to this entity, with beat comparisons drawn from all 929 Finance stories published in the same date window. Shares are omitted below five stories and comparisons below a twenty-story baseline.
Coverage cohort
Appears alongside
Other entities that clear the same relevance threshold in stories also covering President Donald Trump. Shared-story counts are live from our verified record — not editorial picks.
DOGE’s touted $110 billion in government savings is called into question after a GAO audit uncovers a $1.7 billion phantom contract saving and evidence that over 40% of lease terminations were already in progress. For investors and budget analysts, the revelation undermines the reliability of federal efficiency metrics as a fiscal tailwind.
The U.S. labor market unexpectedly shed 23,000 jobs in July, marking a sharp reversal that will complicate Federal Reserve policy and rattle investor confidence. With downward revisions and a falling participation rate, the report signals rising economic risk and potential for earlier rate cuts.
The 100% then 200% tariffs on generic drugs represent a systemic risk to the U.S. generic pharmaceutical market. With margins already compressed and price pass-through blocked, investors should brace for product exits, consolidation, and potential supply chain disruptions that could raise overall healthcare costs.
Former SEC Chairman Jay Clayton was confirmed as Director of National Intelligence in a party-line 51-47 vote, bringing a market regulator’s perspective to the intelligence community. His tenure is expected to deepen the integration of economic data into national security analysis, with implications for sanctions enforcement and financial crime intelligence.
The seventh consecutive night of U.S. aerial bombardment on Iran and the full naval blockade of its ports have sent shockwaves through global commodity markets. Tehran’s claim of disrupting Strait of Hormuz traffic threatens the 20% of world oil that transits the chokepoint, pushing crude prices and shipping insurance costs higher amid heightened geopolitical risk.
The U.S. June budget swung from a $27B surplus a year ago to a $120B deficit, driven by $49.2B in tariff refunds after the Supreme Court struck down the levies. With the temporary 10% global tariff expiring July 24 and more refunds expected, fiscal uncertainty is rattling bond markets.
With US inflation at its highest in three years, the impending US-Iran memorandum and Strait of Hormuz reopening could shave 10% off gasoline prices and shift consumer psychology, says former NEC director Gary Cohn.
President Donald Trump is linked from 7 stories on this site, each scored at or above our 35% relevance threshold — see how these pages are built.
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