Found: 436

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

... financial positions of emerging market countries, but it could also lead to increased instability in their domestic markets. Global implications and strategies for investors High US government debt and its potential further increase in light of Trump's new economic policies could change the balance of global economic flows. Investors are advised to consider a strategy of diversification of their assets to minimize risks associated with the dollar and pay attention to safe haven assets such as gold and commodities. Market impact and strategies for investors Growing debt creates ...

Energy Sector News August 6, 2025: US Pressure on India, Petroleum Product Exports and Energy Trends

... are responding to the threat of sanctions and the changing balance of supply and demand, the gas sector is restructuring logistics and relying on reserve stocks, and the power industry is balancing decarbonization goals with energy security needs. Investors and FES companies in CIS countries and around the world continue to closely monitor these trends to make timely strategic decisions amid the new realities of the global energy market.

How to conduct fundamental analysis?

... market, etc.). They contain statistics on the industry, average indicators of companies in this segment, expert forecasts. In addition, specialized media report on events that can affect the industry: changes in government regulation, the emergence of new technologies, transactions between companies, and other factors. An investor should monitor such information - for example, through financial news, company press releases, and specialized websites. Knowing what is happening in the sector makes it easier to assess the prospects of a particular company in this context. ...

Where to Invest Your Money in 2019

In recent years, many investors have primarily focused on the development of new technologies, cryptocurrencies, and blockchain as a whole. However, there are those who are cautious about investing their money in questionable instruments. Especially given that there are currently enough assets that allow capital growth with significantly ...

Economic News, Saturday, August 16, 2025 – Global Markets at Record Levels Amid Fed Policy Easing Expectations

... and the market as a whole. World markets are demonstrating fluctuations, reflecting inflationary pressures and central bank decisions. Specifically, stock markets, including the S&P 500, Euro Stoxx 50, and Moscow Exchange Index, are adapting to the new conditions. Leading companies have also released their financial reports, potentially influencing investor sentiment. In this article, we will explore current news in the economy, macroeconomic features, and key corporate events that will shape trends for the coming months. Current Economic and Financial News as of August 16, 2025: Global Market ...