US PRE-MARKET MOVERS: TSM, SCHW, ABT, PEP, PPG, QDEL, FLUT, GLW, FN, OKTA

ES +0.1% NQ +0.2% RTY unch

  • TSM -1.4%: Earnings beat; raised FY26 capex view weighs
  • SCHW -2.6%: Rev. and NIM fall short
  • ABT -4.2%: Profit guidance disappointed
  • PEP +0.8%: EPS & rev. beat
  • PPG +5.1%: Q1 EPS view beat; announced global price increases of up to 20% across its products.
  • QDEL -15.8%: Q1 rev. view missed
  • FLUT -3.1%: Double downgraded at Citi to 'Sell' from 'Buy'
  • GLW -2.8%, FN -2.60%: Both downgraded at JPM amid a more cautious view on optical names
  • OKTA +5.0%: Upgraded at Raymond James to 'Outperform' from 'Market Perform'
Context

The pre-market moves highlight a mixed bag of earnings results among major companies, reflecting varying pressures on revenue and profit expectations across sectors. Notably, Abbott's disappointing guidance suggests challenges in the healthcare space, while PPG's robust earnings and price increase announcements could signal resilience in the chemicals sector. Traders should monitor these shifts as they may influence broader market sentiment and sector allocation today.

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