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Escalation of Conflict Between India and Pakistan: A Historical and Political Overview
... faces economic troubles, rising prices, unemployment, or political crises, the theme of an external threat from India becomes a convenient distraction. For example, under Prime Minister Imran Khan (2018-2022), sharp criticism of India over its Kashmir policies and the treatment of Muslims in India helped bolster his populist image and divert focus from economic grievances. Khan’s successors, despite differing political views, also continue this hardline stance—partly because it is in demand by society and supported by military leadership.
The prolonged conflict has led to the rise of radical groups ...
U.S. Debt Reaches a Record $36 Trillion: Implications for the Economy and Investors
... concerns among investors and economists. With rising debt and interest rates, the U.S. economy faces significant challenges that could impact global markets and dollar stability. This article explores the key drivers behind the debt crisis, potential economic implications, and strategies for investors to navigate the risks and opportunities ahead. Read more...
U.S. Debt Reaches a Record $36 Trillion: Implications for the Economy and Investors
The U.S. national debt has reached an all-time high, ...
Friday, December 13, 2024: Analysis of Key Events and Reports
What key economic events will shape the markets this Friday? This article covers the UK GDP report, Eurozone industrial production, and Baker Hughes rig count data, alongside Russia’s Q3 GDP figures. We also delve into corporate dividend updates from Fix Price,...
Sergey, please comment on the news: The price of gold has fallen by almost 5% in a week - this is the worst indicator in three years.
... rates by the Federal Reserve, gold will be less attractive as a means of protecting capital. In this scenario, gold's attractiveness decreases, since the yield on dollar assets looks more favorable.
It is also worth considering the impact of Trump's policies. If his economic moves prolong the period of high interest rates and at the same time increase inflation, this could reduce demand for gold as a safe haven asset, forcing investors to focus on short-term yields on bonds and other dollar assets.
However, I would ...
Economic News: Saturday, July 26, 2025 - CBRF Reduces Rate, Wall Street Hits New Highs
... Takeaway:
The concluding week has brought positive signals for markets—from record highs on Wall Street to the easing of the CBR's policies—yet several risks persist. Strong corporate earnings instill confidence in the resilience of many companies, but China’s ... ... remaining vigilant and maintaining a healthy degree of caution, investors can capitalize on opportunities presented by the current economic situation.