Found: 280

Analysis of PJSC Gazprom's RAS Report for the First Half of 2025

... expenses, reflecting exchange rate fluctuations and debt burden; however, during the reporting period, it successfully kept these factors under control compared to the previous year. For investors from the CIS countries, it is important that Gazprom shows signs of financial stabilization. Despite geopolitical constraints ... ... the company is likely to approach breakeven or even profitability for the second consecutive quarter. Nevertheless, numerous risks lie ahead: from fluctuations in energy prices to deferred currency taxes from future periods. Investors should keep in mind ...

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

... Production: Programs aimed at reducing reliance on foreign suppliers could strengthen the EU's self-sufficiency and resilience. What This Means for Investors Intensifying 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 face greater risks due to uncertainty over tariffs and 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 ...

Global Coffee Exports: Price Surge in the 2023/24 Season

... exports is accompanied by significant price increases, which may lead to mixed outcomes. On one hand, high prices support the profitability of producers and exporters, enhancing the attractiveness of investments in the coffee sector. On the other hand, factors such as climate change, rising transportation costs, and speculative interest in markets create high volatility that may affect income stability. Investors are advised to monitor the measures companies are taking to adapt to climate risks, as well as evaluate their strategies in sustainable agriculture and supply chain optimization, which may be fundamental for long-term growth and stability.

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

... balance surged to 25%, meaning one in four kilowatt-hours in America is now generated from coal. This trend is driven by several factors: rising natural gas prices, the urgency to ensure energy system reliability, and the new administration's policies. President ... ... will gradually decline after 2025, yet the current year demonstrates how challenging it is to immediately abandon coal without risking energy systems. For investors in the FES, this signals that traditional segments — coal, oil, and gas industries — will remain significant in ...

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

... strong earnings reports from several companies. External signals (oil price dynamics, global market sentiments) and internal factors (financial results from Russian issuers for the first half of the year) will determine market movement on Tuesday. With ... ... for continued gradual growth; however, further upward movement will depend on whether companies meet earnings expectations. Investors remain selective, considering ongoing uncertainties, and are ready to reassess risks if negative surprises arise. Corporate Reporting: Company Profits On Tuesday, investors will analyze fresh financial reports ...