Found: 85

Concentration of the US Stock Market Reaches Record High: What Does This Entail?

... top 10 giants of the S&P 500 account for a record 40% of the index. What does this mean for investors, what risks does such a situation entail, and how can one protect their investments? The Concentration of the US Stock Market Reaches Record Levels: ... ... technologies, and digital services accelerates capital concentration in the tech sector. The Large Company Bubble Effect Since the 2008 crisis, the market share of the largest companies has been steadily increasing as investors have favored reliable assets. During ...

Credit Overheating in Russia: What It Is and How It Threatens Companies and Citizens

... take out loans actively, often under less favorable conditions, without considering future risks and the possibility of servicing debts. This process creates increased pressure on the country's financial system and raises the likelihood of a financial crisis if companies or citizens fail to meet their debt obligations on time. Credit Overheating and the Current Situation in Russia Currently, the Central Bank of Russia is observing signs of credit overheating in the corporate lending market. As reported by the head of the department at the Central Bank, annual growth rates of loans in this sector remain high,...

Trade Wars: What Investors Should Worry About

... United States, as well as upcoming changes in domestic politics anticipated in the European Union. Experts believe that this situation may negatively impact the euro's exchange rate against the dollar. Concurrently, inflationary fluctuations are also ... ... unfolds, the U.S. economy could slip into recession, subsequently dragging down other countries as well. The impacts of such a crisis are unpredictable. In this regard, Sergey Tereshkin aligns with experts who advise investors to hold off on making significant ...

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

... lower than the levels from a year ago, reflecting the overall market correction following the peaks of the 2022–2023 energy crisis. Investors are closely monitoring US-China tariff negotiations and upcoming OPEC+ decisions, which will largely determine ... ... market may intensify, and summer exchange prices in Europe could exceed winter prices if filling storage proves challenging. The situation is alleviated by the fact that LNG supplies are currently meeting European demand. The United States is breaking its ...

How Investment Strategies Will Change Due to the Trade War Between China and the USA

... market. Quotes are showing a downward trend. Mixed signals only lead investors to speculate about investment instruments. The situation changes almost weekly, resulting in entrepreneurs needing to regularly reassess assets, including securities, currencies,... ... most popular strategies. Additionally, strategies are influenced by the increasing global debt burden. Since the last global crisis, debt relative to GDP has increased by nearly 30%. This is a significant figure, constituting over 15% of total indebtedness....