Found: 113

OPEC+ vs Trump: Why Oil Prices Aren't Dropping and What Threats Against Russia Have to Do With It

We discuss why oil prices remain high despite the OPEC+ standoff and Trump's influence, as well as the role of threats directed at Russia. Eight OPEC+ countries have announced a new increase in oil production for September, effectively ... ... through gradual actions" to avoid crashing the market. "In this regard, the threat of new tariffs regarding India and China serves as a good informational basis for further increasing quotas," Tereshkin added. Lackluster Market Reaction The ...

Key Takeaways from Putin's Address at SPIEF 2025 – Essential Signals for Investors

... indicator for investors, showcasing the directions in which the Russian economy will develop. We will examine the key points of the president's address, focusing on the investment climate, macroeconomic reforms, and strategies to overcome sanctions pressure.... ... of Global South countries and integration associations. In particular, the share of BRICS countries (Brazil, Russia, India, China, South Africa) in the world economy has already reached 40% and continues to increase. According to the president, this ...

Energy Market News – Tuesday, July 29, 2025: Brent around $70 amid US-EU deal, gas reserves in Europe, gasoline export ban in Russia

... US-EU Deal, European Gas Stocks Increase, Fuel Export Ban in Russia At the beginning of the week, the global fuel and energy sector is showing signs of stabilization and... ... (Japan, Indonesia, the Philippines) and is seeking an extension of the tariff truce with China while limiting oil imports from Russia and Iran. All these initiatives aim to... ... significant part of the energy balance in Poland, the Czech Republic, Greece, and some other economies. Coal prices in the global market have shown moderate stability in recent...

Wednesday, November 27, 2024: Analysis of Key Events and Reports

... Snowflake Inc. (SNOW): A projected revenue increase of 3.0% highlights the growing importance of data warehousing and analytics services, influencing technology investments. Implications for European and American Investors: Monetary Policy Signals: China's MLF rate decision and the U.S. FOMC minutes will provide critical insights into the monetary policy directions of two major economies. Shifts in these policies can affect global liquidity, interest rates, and investor sentiment. Housing Market Indicators: Data on U.S. home prices and new home sales will shed light on the health of the housing sector, a key component of economic ...

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

... risks for financial system stability. Trade balance deficits: Major import-oriented economies, such as the United States, remain vulnerable to fluctuations in currency... ... reduced consumer spending. The dollar remains strong despite global diversification of reserves towards other currencies. Europe The Eurozone faces risks due to the energy... ... instability. Inflation growth rates are decreasing but remain above normal levels. China The Chinese economy is gradually recovering due to measures aimed at stimulating...