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News 2026-10-05 11:40 UTC
Planet Fitness (NYSE: PLNT ) reported second-quarter financial results on Thursday. The transcript from the company's second-quarter earnings call has been provided below. APIs provide real-time access to earnings call transcripts and financial data. Visit to learn more. The full earnings call is available at Summary P
News 2026-10-05 10:52 UTC
Krispy Kreme (NASDAQ: DNUT ) released second-quarter financial results and hosted an earnings call on Thursday. Read the complete transcript below. This transcript is brought to you APIs. For real-time access to our entire catalog, please visit for a consultation. Access the full call at Summary Krispy Kreme reported a
News 2026-09-30 11:07 UTC
iShares Physical Metals plc said the tranche number 1164 of its iShares Physical Silver ETC comprises 103,000 securities. The issue date is 1 October 2026 and the issue price is 57.892375.
News 2026-09-30 11:06 UTC
The tranche is number 226 of the series, with an issue price of 72.059823 EUR and an open-ended maturity. The total number of securities immediately following the issue will be 8,829,898.
News 2026-09-30 11:06 UTC
The tranche is number 193 of the iShares Physical Gold GBP Hedged ETC series and is dated 1 October 2026. The issue price is 66.041141, with a total expense ratio of 0.25% per annum.
News 2026-09-30 11:02 UTC
The tranche number 2663 issuance has an issue price of 80.742782 and is open ended. The total number of securities outstanding immediately after the issue is 472,735,719.
News 2026-09-30 11:01 UTC
The tranche is the 2,664th issuance of the iShares Physical Gold ETC under its secured precious metal linked securities programme. The issue price was 80.742782 USD and the total number of securities immediately after issuance will be 474,601,024.
News 2026-09-30 10:53 UTC
The issuer set final terms for tranche 360 of Series 5, comprising 30,000 ETC securities due 21 May 2080. The issue price per security was EUR 50.043457 and the series count rose to 21,194,729 after the tranche issue.
News 2026-09-30 10:53 UTC
The company issued final terms for Tranche 222 of Series 6, comprising 61,077 Xtrackers IE Physical Gold GBP Hedged ETC Securities. The securities are due 23 May 2080 and were issued under its secured precious metal linked programme.
News 2026-09-30 10:52 UTC
The final terms show tranche 126 of Series 4 comprises 2,900 ETC securities, taking the series total to 1,153,313. The securities are due 15 May 2080 and are linked to silver with EUR FX hedging.
News 2026-09-30 10:52 UTC
The company issued final terms for tranche 172 of series 3, covering 44,216 Xtrackers IE Physical Silver ETC securities due 30 April 2080. The tranche issue date was 1 October 2026.
News 2026-09-30 10:45 UTC
The issuer published final terms for tranche 699 of series 2, comprising 269,000 Xtrackers IE Physical Gold ETC securities due 23 April 2080. The issue price per ETC security was USD 56.427096 and the securities are not FX hedged.
News 2026-09-30 08:13 UTC
Spain Current Account Balance (EUR) Jul: 5.9B (prev 2.41B)
News 2026-09-30 08:10 UTC
Bank of Spain data showed a €5.91 billion current account surplus in July, versus €6.44 billion a year earlier and €3.47 billion in June.
News 2026-09-30 08:08 UTC
Spain posted a current account surplus of €5.91 billion ($6.70 billion) in July, compared to a surplus of €6.44 billion in the same month a year earlier, the Bank of Spain said on Wednesday.That compared to a surplus of €3.47 billion in June, according to the central bank.($1 = 0.8817 euros)
News 2026-09-29 13:33 UTC
The company issued final terms for 7,000 Xtrackers IE Physical Gold ETC Securities due 23 April 2080. The tranche issue date was 30 September 2026, with a tranche price of USD 63.712800 per security.
News 2026-09-29 13:32 UTC
The company published final terms for tranche 125 of its Xtrackers IE Physical Silver EUR Hedged ETC Securities. The tranche comprises 3,300 ETC Securities.
News 2026-09-29 13:26 UTC
The issuer set final terms for tranche 1163 of its iShares Physical Silver ETC, with 425,953 securities issued on 30 September 2026 at an issue price of 58.334984 USD.
News 2026-09-29 13:26 UTC
The issuer published final terms for tranche 2662 of iShares Physical Gold ETC, comprising 314,751 securities. The issue date is 30 September 2026 and the issue price is 80.377480 USD.
News 2026-09-29 13:25 UTC
The issuer announced final terms for tranche 2661 of iShares Physical Gold ETC, comprising 22,000 securities. The issue date is 29 September 2026 and the issue price is 80.377480 USD.
News 2026-09-29 12:37 UTC
The board approved an interim cash dividend against 2026 results of 12.7 euro cents per share. It will be paid from 2 November 2026, with the ex-dividend date on 29 October 2026.
News 2026-09-29 09:31 UTC
Spain’s Energy Minister Sara Aagesen says Spain, Portugal and Luxembourg sent a letter to the European Commission ahead of an EU energy ministers meeting in Dublin, asking for a 2040 renewable energy target framework.
News 2026-09-29 08:50 UTC
Philip Morris Intl (NYSE: PM ) released second-quarter financial results and hosted an earnings call on Wednesday. Read the complete transcript below. This transcript is brought to you APIs. For real-time access to our entire catalog, please visit for a consultation. View the webcast at Summary Philip Morris Intl repor
News 2026-09-29 05:36 UTC
The company outlined its "Medios Next Level" strategy at a Capital Markets Day, targeting about €3.1 billion in revenue and roughly €170 million in adjusted EBITDA by 2031. It also said it aims for about 5% organic revenue CAGR and a prudent 2.0x net debt/EBITDA ceiling.
News 2026-09-28 13:05 UTC
The new tranche is tranche 197 of iShares Physical Palladium ETC. The issue date is 29 September 2026 and the issue price is 35.875461 USD.
News 2026-09-28 13:05 UTC
The issuer said the tranche number 1162 issue is for 569,507 iShares Physical Silver ETC securities. The issue date is 29 September 2026 and the issue price is 61.841044.
News 2026-09-28 13:03 UTC
The issue is tranche 192 of iShares Physical Gold GBP Hedged ETC under the issuer's secured precious metal linked securities programme. The issue date is 29 September 2026, with an open-ended maturity.
News 2026-09-28 12:56 UTC
The issuer published final terms for tranche 2660 of iShares Physical Gold ETC, comprising 748,332 securities. The issue date is 29 September 2026 and the issue price is 82.637642 USD.
News 2026-09-28 12:55 UTC
The issuer set final terms for tranche 359 of Series 5, comprising 12,897 Xtrackers IE Physical Gold EUR Hedged ETC Securities due 21 May 2080. The tranche issue date was 29 September 2026 and the issue price was EUR 51.228800 per security.
News 2026-09-28 12:51 UTC
The company said the tranche covers 81,000 ETC securities in its Xtrackers IE Physical Gold GBP Hedged ETC Securities due 23 May 2080. The issue price per ETC security in the tranche was GBP 49.069800.