Found: 207

Energy Sector News August 6, 2025: US Pressure on India, Petroleum Product Exports and Energy Trends

... issue of further production increases cautiously. Demand for oil traditionally decreases in the fall, especially considering the economic slowdown in Europe and China, so some analysts expect that OPEC+ may pause in October-December and not immediately expand ... ... 60-80% mark in their storage filling, instilling confidence in energy supply stability for the winter. The situation is eased by relatively mild summer weather and consistently high supplies of LNG from various global regions. Against the backdrop of sanctions ...

Key Economic Events and Corporate Reporting: Week of July 28 to August 1, 2025

From July 28 to August 1, 2025, a series of significant economic events are expected that will impact the global financial market and corporate strategies. Investors will closely monitor reports from major companies and statistics related to key macroeconomic indicators. Focus will be on the PMI index, unemployment data, inflation rates, and decisions by the Federal Reserve regarding interest rates. The published reports could considerably affect stock prices and forecasts for ...

Tether (USDT) Cryptocurrency Price Prediction and Analysis for May 2025

... we assess whether USDT will maintain its peg to the dollar and within what range its value will fluctuate, rather than expecting exponential growth or decline. Base Scenario: Stability Around $1. The most likely scenario is that USDT remains stable relative to the US dollar. With a high degree of certainty, we can predict that in May 2025, 1 USDT will trade close to $1.00. Economic conditions leading up to this period are likely to favor maintaining parity: Tether's reserves are supported by high-yield, reliable assets, ensuring adequate liquidity. Even if the Fed begins to gradually lower rates by mid-2025, this will not ...

Macroeconomic Events and Quarterly Reports of Major Companies on July 22, 2025: Reports from Coca-Cola, RTX, Equifax, SAP, UniCredit

... worldwide will report their profits and sales, reflecting the state of various economic sectors (from industry to technology). These economic events and corporate reports could set the tone for market dynamics and investment strategies in the coming days. US ... ... considering competition and interest rates on auto loans. GM's successes or challenges could impact the entire automotive sector and related industries. Lockheed Martin (LMT) and Northrop Grumman (NOC) – giants of the US defense industry. Their reports are ...

Wage Growth in Russia by 2028: Forecast and Investment Strategies

... preserving and growing capital. Current yields on these bonds exceed inflation (according to the baseline scenario) and carry relatively low risk. Rising real incomes across the population could lead to additional savings flowing into the bond market via ... ... expected, a fixed-income strategy will still provide steady coupon payments, even if bond prices do not rise. Overall, given economic growth and a gradual easing of price pressures, government bonds appear to be a reliable component of a portfolio. Real ...