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Macro Economic Forecast for 2025: Key Insights from the Macro Outlook 2025 Report

... include inflationary pressures and limited access to foreign investments. Key Risks Geopolitical Instability Heightened trade wars, particularly between the U.S. and China. Regional conflicts affecting energy supply and supply chains. Climate Change The economic consequences of natural disasters and climate adaptation increase the burden on national budgets. Debt Load Default risks are increasing, especially in developing countries with a high dependence on external borrowing. Investor Recommendations Portfolio Diversification Increase the proportion of low-risk assets. Invest in the green economy, technology, and healthcare. Risk Hedging Utilize derivatives to protect against currency and ...

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

..., completely abandoning Russian gas in the short term is challenging for Europe: some countries, like Hungary, still largely depend on Gazprom's gas due to previously signed contracts. Political disagreements within the EU are manifested in public statements ... ... with clear signals of future changes: Oil Market: remains relatively stable due to producers' coordination but is sensitive to economic risks and potential sanctions-related upheavals. European Gas Market: approaches winter with near-record gas reserves,...

Record US National Debt Exceeds $36 Trillion: Threats and Prospects for Investors

... opportunities. If the Trump administration begins to actively issue government bonds to finance the debt, this could weaken the dollar and cause fluctuations in the currency markets. For Russia, this could be an opportunity to strengthen its international economic ties and reduce dependence on the dollar in trade relations. A weakening US currency could also have a positive effect on Russian export revenues, especially in the commodity sector. Other countries, especially those that hold significant dollar reserves, could also ...

Inflationship: A New Relationship Format in Times of Economic Instability

... Expenses Cons: Diminished Emotional Connection Between Partners Feeling of Being "Stuck" in the Relationship Risk of Dependent Relationships, Where One Partner Cannot Afford to Separate Frequent Conflicts Arising from Financial Issues What to ... ... financial opportunities through investments or learning new skills. The Future of Inflationship: Trend or Temporary Phenomenon? The economic landscape is constantly evolving, and over time, inflationship may either solidify as a social trend or fade away as ...

How to conduct fundamental analysis?

... eye on a long-term result. Fundamental analysis of the Forex market Fundamental principles of evaluation are applicable not only to stocks and companies, but also to the currency market. Fundamental analysis of the Forex market focuses on studying the economic and political state of the countries whose currencies are traded. Unlike the stock market, where companies are evaluated, on Forex the object of analysis is national economies and their currencies. Currency prices (exchange rates) depend on fundamental factors: macroeconomic indicators and events. The main factors of fundamental analysis in the currency sphere are the macroeconomic indicators of states. A Forex trader monitors changes in central bank rates, inflation, GDP growth ...