Venezuela's oil output could jump from 1M bpd to 2M bpd by 2030, but risks remain high. Watch for investment & infrastructure.
Morgan Stanley says Trump’s Greenland tariff threat is an idiosyncratic risk for Europe equities, with just 2.2% of MSCI Europe revenues directly exposed. The bank sees limited downside and remains overweight defence stocks.
Analysts tout 3 dividend stocks for 2026, eyeing 11%+ yields & steady income despite market volatility.
Japan’s Nikkei fell for a fourth session as bond yields hit record highs after PM Takaichi called a snap election and flagged food tax cuts. Trade tensions linked to Trump’s Greenland tariff threats further dented risk sentiment.
Dow futures drop 0.81% on Trump's Greenland tariff threat; analysts see near-term choppiness, not chaos.
China kept its one- and five-year loan prime rates unchanged for an eighth month in January, matching expectations. The decision signals reliance on targeted easing tools for now, with broader rate cuts still seen later in Q1 or Q2.
Oil stocks surge 6.8% amid Iran jitters & supply fears. Continental Resources cuts N. Dakota drilling; clean energy ETFs up 55.3%.
Must Read