Found: 329

EU Faces Trade War Threat: Macron Warns Investors of Rising Risks with the US and China

... market access. Sector-Specific Risks: Export-heavy sectors such as automotive, technology, and consumer goods will be the most vulnerable. Investors should keep an eye on news in these areas and track the performance of relevant companies. Long-Term Investments in Resilient Sectors: In light of global changes, it is important to focus on sectors that may benefit from domestic demand growth and EU support, such as green energy, IT, and biotech. Diversification of Investments: To reduce exposure to trade conflicts, investors may consider diversifying ...

Economic News: Saturday, July 26, 2025 - CBRF Reduces Rate, Wall Street Hits New Highs

... forecasts. The company notes high demand for insurance brokerage and consulting services: despite market volatility, corporate clients continue investing in risk management. An additional growth factor was high interest rates, allowing Aon to earn more from investing insurance reserves. The strong report reinforced confidence that the insurance business remains resilient even amid global uncertainties. Charter Communications – the second-largest cable operator and internet provider in the US reported mixed results. Charter’s net income in Q2 was around $1.3 billion, slightly above last year’s level; however, revenue growth ...

Where Does EuroChem Mineral Chemical Company Invest?

... the production of nitrogen, phosphorus, and potassium fertilizers, as well as complex mineral fertilizers. The company is actively investing in expanding its production capacities, developing new technologies, and strengthening its positions in the global market. Sector: Chemical Industry Investments in 2023: 110.1 billion rubles Investments in 2022: 92.3 billion rubles Key Assets of the Company: Production Facilities: EuroChem-Antwerp (Belgium): A plant for the production of nitrogen and phosphorus fertilizers. Lifosa (Lithuania): A producer ...

U.S. Debt Reaches a Record $36 Trillion: Implications for the Economy and Investors

... triggering broader financial adjustments in global markets. The situation might stimulate demand for alternative currencies like the euro, but it could also lead to increased market volatility in emerging economies reliant on stable dollar reserves. Global Consequences and Investment Strategies The expanding U.S. debt may reshape global capital flows, underscoring the need for investors to adapt their strategies. Investors may benefit from diversifying their portfolios and incorporating defensive assets such as gold and ...

FEC News – Sunday, August 3, 2025: Brent around $73; Asia Becomes Main Market for Russian Oil Exports

... future, even amid moderate profit declines. Outlook: Factors to Watch Monetary Policy. Future decisions by leading central banks (primarily the U.S. Federal Reserve and the ECB) regarding interest rates and dollar dynamics will impact borrowing costs, investment activity, and, consequently, global energy resource demand. Sanctions and Trade Disputes. The development of sanctions policy against Russia (including potential new restrictions from the U.S.) and the progress of trade negotiations between the U.S. and China, India, and other countries ...