Found: 217

Changes in Mortgage Programs: What Does the Family Mortgage Suspension Mean?

... places significant pressure on the financial sector. Banks are compelled to reevaluate their lending conditions since long-term loans become riskier for financial institutions in a high-interest-rate environment. Increased Risks for Banks. In times of economic uncertainty, banks fear a rise in the number of defaults on mortgages. Family mortgages, which are oriented towards long-term loans, become less attractive for banks, particularly if rates remain high. Cost Optimization. Banks like VTB and Sberbank ...

Investment Tips for Investors Amid Economic Acceleration

... In some places, the growth is more pronounced than in others, but the trend is clear. Asian countries are demonstrating the highest GDP growth rates. According to experts, the likelihood of a global recession is gradually decreasing. This is due to economic stimulation in China, rising asset prices, and the prudent policies of central banks in many countries, among other factors. All of this contributes to the acceleration of global economic growth. As a result, individuals are accumulating disposable ...

How to Choose a Reliable Financial Advisor and What to Consider When Making Your Choice?

... Experience in the Financial Sector. It's essential that the advisor has practical experience working with clients in various economic conditions, not just theoretical knowledge. Inquire about how many years they have been in consultation and what types ... ... Flexibility and Adaptability. Your financial goals may evolve over time, so it's important for the advisor to be willing to adjust strategies based on new circumstances. 5. Checking Advisor Compliance with Standards A financial consultant should meet a number ...

Tuesday, December 10, 2024: Analysis of Key Events and Reports

... these events will impact Europe, the U.S., and global financial markets, with key insights for investors navigating the evolving economic landscape. Tuesday, December 10, 2024: Analysis of Key Events and Reports Macroeconomic Events 06:00 (MSK): China – ... ... the EUR. U.S. dollar movements could be driven by commodity market responses. Commodities: The WASDE report will shape trading strategies in agricultural futures, and investors should watch for any surprises that could disrupt market trends. Key Corporate ...

Energy Sector News, Monday, August 4, 2025: Brent around $70 amid increased OPEC+ production, EU gas reserves exceed 70%, gasoline export ban in effect

... increases are expected beyond OPEC: Chevron has obtained permission to resume production in Venezuela, potentially bringing over 200,000 barrels per day back to the market. Thus, the expansion of supply from OPEC+ and other sources, along with ongoing economic risks, exerts a "cooling" effect on oil prices. Macroeconomic Factors. At the end of July, commercial oil inventories in the U.S. fell more than anticipated, reflecting robust consumption and preventing sharp declines in oil prices....