Found: 109

Лента новостей рынка ТЭК на пятницу, 31 января 2025 года

... критического уровня запасов газа в украинских хранилищах. Товары и сырьевые рынки: Brent Oil: $76.41 (+0.52 / +0.69%) Natural Gas: $3.093 (+0.014 / +0.45%) US 10Y T-Note Futures: 109.02 (-0.22 / -0.20%) Gold: $2,850.42 (+5.22 / +0.18%) Silver: $32.763 (+0.270 / +0.83%) Copper: $4.3075 (-0.0023 / -0.05%) Iron Ore 62%: $101.33 (+0.03 / +0.03%) Nickel: $1,315.0 (-12.5 / -0.94%) Aluminium: $2,617.45 (-4.50 / -0.17%) Фон дер Ляйен признала ...

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

... for so-called "tail risks" for global stability. Investors should consider the following points: Geopolitical Uncertainty: Increasing nuclear tensions (for instance, around Iran or on the Korean Peninsula) can lead to price spikes in oil, gold, and other safe-haven assets. Markets typically price the likelihood of extreme events as very low, but the estimated 17% probability of a nuclear incident this year by some analysts indicates that the risk is non-zero. An unexpected crisis could ...

Лента новостей рынка ТЭК на среду, 5 февраля 2025 года

... нефти. #Нефть #Equinor #JohanSverdrup #Норвегия #Brent #ICE #WTI #Северноеморе Товары и сырье Brent Oil: $75.82 (-0.36%) Natural Gas: $3.226 (+0.09%) US 10Y T-Note Futures: 109.20 (без изменений) Gold: $2,882.94 (+0.25%) Silver: $32.895 (-0.38%) Copper: $4.3680 (+0.12%) Iron Ore 62%: $105.40 (+0.36%) Nickel: $1,315.0 (без изменений) Aluminium: $2,632.25 (-0.94%) Анализ: Нефть продолжает снижаться, отражая ...

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

... about 80% in highly liquid assets (predominantly US Treasury securities—T-bills), a portion in cash and deposits, a share in secured loans, and minor investments in other assets (e.g., Tether acknowledged holding a small percentage of reserves in gold and Bitcoin as additional diversification, along with investing part of profits). The shift toward a focus on Treasury bonds occurred after 2021 when, under regulatory and market pressure, the company moved away from risky instruments (like commercial ...