by Natalija Riabko | Dec 21, 2025 | Commodities, Energy, EU, Forecast, Investing, News, News of the day, Oil, Oil Industry, Raw Materials, Stock Exchange, Strategy, World Markets
Year-end Chronicle : A European and Global Perspective There are years that merely extend cycles, and others that expose them. 2025 did not overturn the global economic order; it revealed its fatigue, its fault lines, and its blind spots. Beneath the apparent...
by Natalija Riabko | Dec 15, 2025 | Bond Market, China, Commodities, Economic Fragmentation, Energy, ESG Criteria, Forecast, Investing, Market Outlook, News, News of the day, Oil, Oil Industry, Raw Materials, Stock Exchange, Strategy, USA, Weekly news, World Markets
As 2025 enters its final act, global markets approach a decisive inflection point: the transition to a structurally tighter liquidity environment. The week of 15 December serves as a crucial barometer of the market’s capacity to digest this new paradigm,...
by Natalija Riabko | Dec 12, 2025 | Forecast, News, News of the day
A Historical Anatomy Renewed by Modern Research The historical analysis of trade conflicts, long focused on macroeconomic causes, now benefits from multidisciplinary approaches. The work of economist Davin Chor (National Bureau of Economic Research, 2023)...
by Natalija Riabko | Dec 10, 2025 | Article, Energy, ESG Criteria, Forecast, Future of investment, Green Energy, News, News of the day, Strategy, Sustainable Production, Uncategorized
At a time when energy systems face unprecedented pressure to deliver resilience, flexibility, and cost-competitiveness, a new frontier is emerging several hundred metres above ground. High-altitude wind power (HAWP), the generation of electricity using tethered flying...
by Natalija Riabko | Dec 8, 2025 | Agriculture, Bitcoin, Bond Market, Commodities, Energy, ESG Criteria, Forecast, Heavy Industry, Investing, Market Outlook, News, News of the day, Oil, Oil Industry, Raw Materials, Stock Exchange, Strategy
At a Glance Equities & Bonds: Markets on edge ahead of key U.S. monetary policy decisions and next week’s inflation indicators. Heightened volatility expected in bonds. Rates / Central Banks: Final significant week before the Fed’s...