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Agreement Between the US and Ukraine: Resource Transfer for Funding
... the Ukrainian side will propose revisions to certain terms of the contract to safeguard national interests.
There is also the factor of territorial risks. Many key deposits of oil, gas, and rare earth metals are located in combat zones or temporarily occupied ... ... the largest investment project in Ukraine's history; however, its terms require careful analysis to achieve a balance between economic benefit and national independence. In the coming months, the parties may revisit certain aspects of the document to reach ...
EU Faces Trade War Threat: Macron Warns Investors of Rising Risks with the US and China
... global trade tensions may impact the performance of European stocks and other assets. Investors should consider the following factors:
Potential Volatility:
Conflicts with the US and China may trigger fluctuations in stock markets. Export-focused companies ... ... Asia, Latin America, and Africa.
Monitoring Policy Changes:
Future EU decisions on protectionism, boosting domestic demand, and economic fortification could create additional investment opportunities.
Conclusion: Europe’s Path Forward and Next Steps for ...
FEC News – Sunday, August 3, 2025: Brent around $73; Asia Becomes Main Market for Russian Oil Exports
... the resilience of the oil and gas sector and its ability to invest in the 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 ... ... affect global oil and gas supply chains. This could influence prices and availability of energy resources in various regions.
Economic Growth and Demand.
Macroeconomic indicators in key economies – GDP and industrial growth rates in China, the U.S., ...
Global Investment Outlook for 2025: Challenges, Trends, and Investment Strategies
... recommendations for investors looking to adapt to the new reality. This article will outline the main points from the report and offer recommendations based on comprehensive analytical data.
Trends for 2025: Where is the Economy Heading?
Slowing Global Economic Growth
The growth of the global economy is expected to slow down in 2025, becoming the new standard for investors. This trend is influenced by multiple factors, including high interest rates, monetary policy constraints, and a complicated geopolitical situation.
For investors, this means a shift from growth-oriented strategies to more balanced portfolios.
Inflation Remains a Threat
Although inflation ...
Goldman Sachs Forecast 2025: Investment Strategies and Challenges
... developing markets, central bank policies will depend on commodity price growth and external debt considerations.
2. Global Economic Growth
A global GDP recovery is anticipated, ranging from 3% to 4%.
Asian countries, particularly China and India, will ... ... Geopolitical Challenges
Risks include trade restrictions, energy market instability, and heightened sanctions policies.
These factors may lead to increased volatility in commodity and currency markets.
Key Capital Management Strategies
Goldman Sachs identifies ...