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Economic Trends in Russia: GDP Slowdown and Inflationary Challenges – What It Means for Investors
... for Investors
Long-Term Investments in Core Sector Stocks:
In a context of GDP slowdown and high inflation, companies associated with exports, raw materials, and energy may remain advantageous for long-term investments. Examples of such firms include oil and gas companies, metal producers, and fertilizer manufacturers.
Investments in Dividend Stocks:
Amidst volatility, dividends may become a primary source of yield for investors. Companies that provide stable dividends, such as Sberbank, Gazprom, and Norilsk ...
Ruble Concludes 2024 Above 100 Against Dollar: Causes, Forecasts, and Implications
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The introduction of new US sanctions against Russia in November 2024 dealt a serious blow to the economy. The sanctions affected key sectors and restricted access to international financial markets.
Decline in Export Revenues
Falling global prices for oil and gas, along with a reduction in their export, diminished the inflow of foreign currency into Russia.
Monetary Policy
The Central Bank maintains the key interest rate at 21%, which curtails economic activity but does not stop capital outflows.
Increase ...
Лента новостей рынка ТЭК на среду, 12 февраля 2025 года
... на рынке ТЭК в ближайшие дни могут оказать влияние на глобальную экономику и энергетическую стратегию ведущих стран.
Товарные рынки:
Brent Oil: 76.76 (-0.31%) – снижение на фоне ожиданий отчета МЭА.
Natural Gas: 3.513 (+0.17%) – рост на фоне сезонных факторов.
Gold: 2,914.39 (-0.62%) – коррекция после недавнего роста, давление со стороны сильного доллара.
Silver: 32....
Лента новостей рынка ТЭК на понедельник, 27 января 2025 года
... конденсата в Индии в декабре 2024 года достиг 2,5 млн тонн, что на 0,6% выше уровня прошлого года.
Основные участники рынка:
Oil India Limited (OIL): 0,3 млн тонн.
Oil and Natural Gas Corporation (ONGC): 1,6 млн тонн.
Контракты о разделе продукции (PSC)/контракты о разделе доходов (RSC): 0,6 млн тонн.
Анализ:
Рост добычи свидетельствует ...
Macro Economic Forecast for 2025: Key Insights from the Macro Outlook 2025 Report
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Healthcare, including biotechnology and pharmaceuticals.
Bond Market
Long-term bonds remain under pressure due to expected rate increases.
Investors seek safe-haven assets such as U.S. government bonds and gold to mitigate risks.
Commodity Markets
Energy: Oil and gas prices remain volatile due to the global transition to renewable energy sources.
Metals: Demand for lithium, copper, and rare earth elements is increasing due to technology development and the green economy.
Regional Prospects
United States
Economic ...