Iran conflict threatens economy disruptions beyond energy to agriculture and goods. Rising PPI signals persistent inflation, risking stagflation reminiscent of the 1970s. Europe and Asia face...
New York prices rose while London was unchanged despite petroleum rallies to the Iran war and reserve releases. Higher oil prices may shift demand toward ethanol....
Global markets remain volatile amid the Iran war, with the Strait of Hormuz effectively closed and oil prices surging. Economic strain is emerging as stocks near...
A Pew Research Center report (March 5, 2026) analyzing attitudes in 25 countries shows shifting views in Poland. While 43% of Polish adults see marijuana as...
War in Iran raises economic and market risks mainly through oil price spikes. Past energy shocks sometimes caused recessions and major stock declines, while others led...
Since the Paris Agreement, investors have debated whether green companies outperform carbon-intensive ones. Green firms benefited from stronger earnings expectations, while brown companies faced higher costs...
Global risk is rising as the United States and Israel bomb Iran, raising fears of wider war. Oil and gold may surge while stocks, airlines, and...
MainStreet Partners’ 2026 ESG Barometer shows stricter sustainability standards reshaping European and UK fund markets. Only 14% of funds would qualify as “Sustainable” under future Sustainable...
Rice prices fell last week and overall trends remain downward. A positive weekly export sales report supported the market after a month-long recovery from a major...
With $38.7 trillion in federal debt and $106.7 trillion total debt, the U.S. faces mounting fiscal strain. Debt-to-GDP stands at 124%, deficits exceed $1 trillion annually,...