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Summary Today's market X-ray shows the returns for each index, asset class, sector, and so on, since the recent low point on June 16th. Of the global indices, US small caps are in the lead, followed by the NASDAQ. High beta stocks are the most preferred factors since June 16. ...
Summary Several oil and gas companies, from independents to majors, are increasingly resorting to subsea tiebacks to convert marginal fields into profitable ventures in several basins around the world. The nascent Brazilian mature fields revitalization and decommissioning industry...
Summary The University of Texas at Austin (UT) may soon unseat Harvard as the wealthiest school in the U.S. due to its oil and gas holdings. Looking ahead, energy stocks appear to be setting up for a new cycle of outperformance relative to the market. Deloitte projects that oi...
Summary Equities rebounded in recent weeks as investors considered the prospects of a possible pivot by major central banks, especially after China’s central bank unexpectedly cut interest rates. Similar to Europe, core inflation and services inflation are expected to rise ...
The energy sector led during the month of July, providing almost all of the positive performance due to a strong rally in natural gas prices. The heat wave from late June into early July in the lower Midwest U.S. killed cattle, quickly reducing supply. However, both cattle and hogs ra...
On 12 August 2022, the House passed the landmark Inflation Reduction Act, a reconciliation package that represents the United States government’s largest-ever investment in combatting climate change. We expect significant growth opportunities to emerge across a wide range of cl...
A climate mitigation policy mix of carbon taxes, green subsidies, and infrastructure investment could reduce global balances by a quarter by 2027. Global interest rates are also likely to fall in the longer term because of the decline in investment in fossil fuels, following an initia...
Long-term investors need to have a strategy they can stick with no matter what happens, a strategy that keeps them on an even keel. Investing is hard and determining your risk tolerance is far from an exact science. There are a lot of people these days who seem to want the market ...
The Russian war in Ukraine has had a massive impact on the European energy market, a result of which is runaway inflation across the continent. Nigeria’s substantial resource wealth and geographic proximity to Europe make it a very attractive partner for meeting the continent...
Elevated inflation, slowing global economic growth expectations, and reduced central bank liquidity remain the key economic considerations. The policy interest rate divergence between the U.S. and Europe is likely to increase amid heightened recession risk in Europe. We expect mar...