Public Asthi digests where DHI appears in a market theme, sector signal, or ticker group.
weekly digest
Energy prices are translating into producer profits and capex signals even as yields continue to decide whether that strength can cascade across markets.
daily digest
Higher Treasury yields and a rebound in 30‑year mortgage rates are re‑testing earnings durability across banks, AI capex borrowers, and homebuilders.
daily digest
Novo Nordisk sues Eli Lilly over GLP‑1 advertising; legal and reimbursement channels now sit alongside trials as near‑term confirmers for healthcare winners.
daily digest
Mortgage rates moved up to the highest levels of the year and affordability worsened, making housing a headline driver for banks, builders and REITs in coming quarters.
daily digest
Fed testimony and regional bank resilience keep rates front-and-center; watch yield curve, inflation prints, and deposit dynamics for the next confirmatory signal.
daily digest
Middle‑East tensions pushed oil sharply higher — that raises near‑term earnings sensitivity for producers and services — while housing activity stays hostage to mortgage rates and inventory dynamics.
daily digest
Extreme heat + AI-driven data‑center demand lifted the probability that utility capex, transformer lead times and clean‑power prices will drive supplier backlog and margin revisions.
daily digest
AI infrastructure demand is widening to second‑order suppliers; watch hyperscaler capex guidance, GPU/ASIC lead times, and memory/pricing signals.
daily digest
A Medicare coverage shift for obesity drugs makes clinical and reimbursement calendars the immediate market lever for healthcare names.
daily digest
Heat-driven power stress is creating order‑book clarity for grid suppliers even as macro rates continue to control cross‑market risk appetite.
daily digest
Food and fuel dynamics are forcing more nuanced consumer positioning even as AI capex signals widen supplier opportunity and housing stays rate‑sensitive.
daily digest
Clinical trial data, M&A quietly reshaping mid‑cap pipelines, and strategist positioning make healthcare a catalyst‑driven sector this week.
daily digest
Powell’s political warnings and mixed regional bank headlines keep credit and deposit dynamics front‑and‑center for financials.
daily digest
Catalyst-driven healthcare leadership persists, but fast-moving policy and China‑supply signals are changing which names face structural tailwinds or risks.
daily digest
Micron and SanDisk join the AI rally as evidence shifts from a GPU‑centric story to a broader infrastructure cycle for data centers.
daily digest
Walmart’s guidance and broad trade‑down signals show staples pricing is now a driver of share and margin outcomes, not just a sector label.
daily digest
Grocery price pressure and mortgage‑rate sensitivity remain the dominant consumer stories; manufacturing/freight prints are the tie‑breaker for durable capex and industrial winners.
daily digest
Geopolitical risk around the Strait of Hormuz lifted Brent above $100, making commodity curves and producer capex the near‑term market levers for energy‑sensitive equities.
daily digest
Higher-for-longer rate signals plus housing stress keep testing bank margins, homebuilders, and consumer staples’ mix winners.