Of the tracked stories, 1 of 4 also mention Anthropic, the most common co-covered peer. Across a 201-day span, the pace is roughly 0.1 stories per week. The clearest coverage concentration is commodities: 2 of 4 stories, with the rest divided among 2 other categories.
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 S&P Global Market Intelligence
Of the tracked stories, 1 of 4 also mention Anthropic, the most common co-covered peer. Across a 201-day span, the pace is roughly 0.1 stories per week. The clearest coverage concentration is commodities: 2 of 4 stories, with the rest divided among 2 other categories. The 6 average consequence score is below the beat benchmark of 6.2 in the same window. They are better corroborated than the beat average, carrying 2.8 original sources each against 2.7 for the same window. S&P Global Market Intelligence appears in 4 tracked Finance stories published from February 18, 2026 through September 6, 2026.
Stories tracked
4
Per week
0.1
Sources per story
2.8
Computed from the 4 stories linked to this entity, with beat comparisons drawn from all 4707 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 S&P Global Market Intelligence. Shared-story counts are live from our verified record — not editorial picks.
UiPath shares jumped 46.3% in August as enterprise software rebounded from AI-disruption fears and RBC Capital lifted price targets. The move preceded a fiscal Q2 report that fell short of elevated hopes, showing how much of the gain was sector sentiment rather than stock-specific news.
Microsoft's Q4 FY2026 results crushed estimates, driving a 24.6% monthly stock surge. The cloud and AI powerhouse beat on revenue ($90B) and EPS ($4.74), while the broader market declined. We analyze the catalysts and whether the rally has room to run.
Newmont’s 14.9% June plunge reflects gold’s swift bear market, but record Q1 cash flows and a $6B buyback signal potential deep value. Investors now weigh falling production guidance against the miner’s aggressive capital return, with Q2 earnings set to be a critical catalyst.
Indonesia is aggressively consolidating state control over its dominant nickel reserves through massive land seizures and regulatory crackdowns. While Jakarta aims to anchor a domestic electric vehicle industry, a global pivot toward nickel-free battery chemistries and intensifying US-China competition threaten the long-term payoff of its strategy.
S&P Global Market Intelligence is linked from 4 stories on this site, each scored at or above our 35% relevance threshold — see how these pages are built.
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