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مستقر12 خبر9 مصادرآخر تحديث: أمس

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Jamie Dimon Warns Investors Are Underestimating Global Economic Risks, Advises Against Buying Equities and Long-Dated Treasurys
يتطور
Business·أمسملخص الذكاء الاصطناعي

Jamie Dimon Warns Investors Are Underestimating Global Economic Risks, Advises Against Buying Equities and Long-Dated Treasurys

JPMorgan Chase CEO Jamie Dimon warns investors are underestimating global economic risks, including geopolitical conflicts and rising U.S. deficits. He advises against buying equities and long-dated U.S. Treasurys at current prices, predicting higher interest rates due to persistent budget deficits.

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CNBC US Markets
3 د قراءة
Delaying Social Security Reform Could Strain Bond Market, Economy: Research
يتطور
Business·8‏/7‏/2026ملخص الذكاء الاصطناعي

Delaying Social Security Reform Could Strain Bond Market, Economy: Research

New research from George Mason University's Mercatus Center warns that delaying Social Security reform could negatively impact the bond market and the broader U.S. economy. With the Old-Age and Survivors Insurance trust fund projected to deplete in Q4 2032, inaction may lead to increased borrowing, higher interest rates, and a potential fiscal crisis.

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CNBC
6 د قراءة
West Asia Conflict Poses Significant Economic Risks to India, Says RBI MPC Member
يتطور
Business·19‏/6‏/2026ملخص الذكاء الاصطناعي

West Asia Conflict Poses Significant Economic Risks to India, Says RBI MPC Member

The West Asia conflict presents economic risks to India, including potential disruptions to oil and fertilizer imports via the Strait of Hormuz and reduced remittances from the Gulf. El Niño-induced monsoon failures also threaten agriculture. Despite these, India's strong foreign exchange reserves and fiscal space offer resilience.

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Economic Times
4 د قراءة
Oil at three-week high as US-Iran peace talks stall, and Goldman lifts price forecast – business live
خبر
27‏/4‏/2026

Oil at three-week high as US-Iran peace talks stall, and Goldman lifts price forecast – business live

Rolling coverage of the latest economic and financial newsUnicredit also have a note out on the oil market this morning, in which they warn:The Iran war has triggered one of the largest disruptions to physical oil supply in modern history. While de‑escalation could ease some geopolitical risk premiums, the damage to production, exports and logistics means markets are unlikely to quickly return to pre‑war conditions.We now assume a normalization in Gulf exports by end-June (vs. mid-May prior) and a slower Gulf production recovery. The economic risks are larger than our crude base case alone suggests because of the net upside risks to oil prices, unusually high refined product prices, products shortages risks, and the unprecedented scale of the shock.We assume that global oil demand falls on a year-over-year basis by 1.7mb/d in 2026Q2 and 0.1mb/d in 2026 given the jump in refined product prices. Because extreme inventory draws are not sustainable, even sharper demand losses could be required if the supply shock persists longer.Adverse scenario: Brent 2026Q4 would average just over $100 assuming Gulf exports only normalize by end-July.Severely adverse scenario: Brent 2026Q4 would average at nearly $120 assuming Gulf exports normalize by end-July and 2.5mb/d of persistent reduction to Gulf capacity. This 2.5mb/d of scarring is equivalent to Hormuz flows not recovering above 70% (till pipeline capacity is expanded).Benign scenario: Brent 2026Q4 would average just under $80 assuming Gulf exports normalize by mid-June, no capacity reduction, and stronger US and core OPEC supply responses. Continue reading...

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Guardian Business
Bank of England Deputy Governor Warns Stock Markets Will Fall Back
يتطور
Business·24‏/4‏/2026ملخص الذكاء الاصطناعي

Bank of England Deputy Governor Warns Stock Markets Will Fall Back

Bank of England Deputy Governor Sarah Breeden has warned that record-high global stock markets do not reflect macroeconomic risks and will face an adjustment. She cited concerns about private credit markets, highly valued AI stocks, and other risky valuations. The FTSE 100 fell over 0.5% on Friday following her interview, amid wider market concerns about the Iran war.

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Guardian UK
2 د قراءة