Found: 224

Economic News: Saturday, July 26, 2025 - CBRF Reduces Rate, Wall Street Hits New Highs

... burden. Free cash flow allowed Eni to even reduce net debt, enhancing financial stability. Investors reacted positively to the report: despite the profit decline, effective expense management and stable operational performance confirm that Eni's oil and gas business is adapting to market volatility. HDFC Bank – India’s largest private bank demonstrated sustained high growth, reflecting the dynamic development of emerging economies. For the quarter ending June, HDFC's net income grew by approximately 5% year-on-year. The bank's ...

Pressure on Russia's oil exports is set to increase.

... impractical due to the real-time tracking required. As for Russian budget revenues, Sergey Tereshkin, CEO of the OPEN OIL MARKET platform, notes that falling oil prices won’t affect 2024 revenues due to the significant share of taxes derived from ... ... the National Wealth Fund (NWF), meaning basic oil revenue remains secure. Analyst Vladimir Chernov highlights that oil and gas revenues still exceed the Finance Ministry’s baseline projections, and the weaker ruble partly offsets export losses. ...

Economic Events and Corporate Reports - Friday, July 25, 2025: EU-China Summit, CBR Rate, Durable Goods Orders (USA)

... China due to heightened local competition. If Volkswagen reports solid revenue and profit growth, it will confirm the recovery of the auto sector and the success of its electrification strategy. Weak results or cautious forecasts may heighten fears of market saturation and margin pressures. Eni S.p.A. – an Italian oil and gas giant releasing results for Q2 amid volatile energy prices. Investors will analyze Eni's oil and gas production volumes, as well as profitability metrics in exploration, production, and refining. In Q2 2025, Brent oil prices were stable within the ...

Doubling the Capitalization of the Russian Stock Market by 2030: IPOs of ₽1.28 Trillion Annually

... owners. This restricts the attractiveness of stocks to new investors and slows down the entry of issuers onto the exchange. Poor Sector Diversification. Currently, a significant portion of capitalization is concentrated in traditional sectors – oil and gas, metals, and the banking sector. The low presence of IT, small business, and innovative companies in the market diminishes its appeal as a source of long-term investments. For private and institutional investors, this translates into heightened risks from sectoral dependency. High Costs and Complexity of IPOs. For issuers, going public involves substantial ...

The Russian Stock Market Set to Reach Record Heights This Year

... sanctions. The Moscow Exchange Index hit a record high of 3,949.07 as of August 18. It is anticipated to rise further by the end of the year, reaching 4,000. Gas production companies are expected to increase profits against a backdrop of constrained natural gas supply in global markets, particularly in Europe. High dividends from Russian assets are attracting novice investors, whose numbers have surged to 13 million during the pandemic and lockdowns that prompted people worldwide to stay at home. Inflationary expectations and ...