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

... pause from the Fed. However, strong corporate reports from the US could revive demand for dollar assets this evening. Overall, financial markets in currencies are showing selectivity: they react only to significant deviations in the rhetoric of central ... ... current data point to declining inflation and central banks' caution, this creates a positive background for markets in the medium term. Simultaneously, corporate results from many companies show robust demand – for example, Coca-Cola may continue to grow ...

Current Situation: The USA Aims to Capture up to 70% of the European Energy Market

... I foresee that in the future, the EU may abandon such an unstable and coarse partner, but not tomorrow, rather in the medium term,” the expert opines. Impact of the Rejection of Russian Oil and Gas on the Russian Economy As for the influence of the ... ... consequences from the loss of the European market were already played out by Russia and particularly by Gazprom following the 2023 financial report. At that point, Russia was able to quickly redirect its hydrocarbon export flows to other markets,” Natalia ...

Economic Events and Corporate Reports - Tuesday, August 5, 2025 - PMI Index and US Trade Balance

August 5, 2025, promises to be eventful in terms of economic activities. On this day, crucial reports influencing global financial markets will be released. The July 2025 PMI index is expected to reflect the state of the manufacturing sector in the USA. Additionally, data on the country's trade balance for June 2025 will be presented, serving as a key indicator of external ...

Nine countries and 12,000 warheads: How the world's nuclear arsenal is distributed

... of North Korea's nuclear "card" complicates any armed scenarios on the peninsula. Any local conflict now carries the risk of escalation to the use of weapons of mass destruction, making the situation in East Asia one of the most volatile in terms of security and global risks. What Investors Should Know The distribution of nuclear weapons among countries is not only a matter of military security but also a factor capable of influencing the global economy and financial markets. While the probability of direct nuclear conflict remains low, the mere existence of significant stockpiles of weapons of mass destruction among several states lays the groundwork for so-called "tail risks" for global stability....

Features and Pitfalls of Investing in Gold

... decisions. After a downturn, there is usually a recovery, so one must maintain composure. Banks set their own gold prices, which can sometimes vary significantly. To avoid overpaying, it is advisable to research the market and review offers from various financial institutions to identify the most favorable terms. For holdings of gold less than three years, the owner will incur VAT, which may lead to losses rather than profits. This factor should be considered during the purchase. Investment coins are exempt from VAT. Therefore, for short-term investments,...