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Monday, November 11, 2024: Key Economic Events for Investors

... 2024. $PHOR - PhosAgro: Releases its Q3 2024 IFRS financial report. $AFLT - Aeroflot: Reports October 2024 operational results. After-Market Reports: $GRAB - Grab Holdings Ltd Class A (Report at 02:45 MSK): Expected growth of 14.7%. $LAZR - Luminar Technologies Inc (Report at 00:00 MSK): Expected increase of 7.5%. $LYV - Live Nation Entertainment (Report at 00:05 MSK): Projected decrease of 3.0%. 1. European Market Events Germany Industrial Production (September) — Published at 07:00 GMT Germany’s ...

U.S. Debt Reaches a Record $36 Trillion: Implications for the Economy and Investors

... Defensive Assets: With economic uncertainty, demand for defensive assets like gold and commodities may increase as they provide a hedge against inflation and financial instability. Portfolio Diversification: Investors can consider diversifying with technology and resource companies that might perform well despite fluctuations in interest rates and inflation. With U.S. national debt at $36 trillion, this is a pivotal moment for investors. As policymakers respond to the mounting debt and inflationary pressures, market dynamics ...

Cargo turnover of Russian seaports decreased by 5.4% in January-April 2025.

... operational efficiency will require adaptations to logistical schemes. Key factors include: The reduction in workload on berths and technological chains provides temporary flexibility in cargo distribution among terminals. Logistics: optimizing routes and delivery ... ... Russian ports. While domestic economic growth remains generally stable, currency fluctuations and inflationary constraints affect companies' capacity for new capital investments. Therefore, macroeconomics is a decisive factor that shapes the primary development ...

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

... find that safe havens such as gold and commodities are more attractive. These assets help hedge against inflation and financial instability. Portfolio Diversification: With debt policy instability, it is important to diversify your portfolio to include technology and resource companies that may be resilient to interest rate changes and inflation. The US national debt of $36 trillion is not only an economic statistic, but also an important signal for investors. As the debt burden rises, investors should closely monitor the ...

Energy Sector News - Friday, August 1, 2025: Brent Holds Above $72; European Gas Storages Record High Filled

... than 20% of generation). Together with hydro and other sources, over 30% of electricity in the U.S. is produced using green technologies—a record figure. Thus, for the first time, wind and solar energy in the U.S. have surpassed coal in significance ... ... unprecedented step to stabilize fuel prices. As of August 1, a temporary total ban on the export of automotive gasoline for all companies, including major producers and refineries, is in effect until August 31, 2025. This emergency measure is designed to ...