Chevron Corporation is a multinational energy company engaged in all aspects of the oil and gas industry, including exploration, production, refining, and marketing of crude oil and natural gas. The company operates in various regions around the world, focusing on both conventional and unconventional resources. In addition to its fossil fuel operations, Chevron is also investing in renewable energy technologies, such as biofuels and geothermal energy, as part of its commitment to transitioning towards a more sustainable energy future. Through its extensive supply chain, Chevron provides fuels and lubricants for transportation, industrial, and commercial needs, while also prioritizing safety and environmental stewardship in its operations. Read More
The landscape of American economic policy has undergone a significant transformation with the recent inauguration of former President Donald Trump for his second non-consecutive term in January 2025. This transition, coming on the heels of President Biden's "Bidenomics" agenda, has unleashed a wave of both optimism and uncertainty across financial
The U.S. economy finds itself at a critical juncture, grappling with a paradoxical scenario: inflation remains persistently "sticky" and above target, even as the once-robust labor market shows undeniable signs of weakening. This delicate balance presents a profound challenge for the Federal Reserve, which must navigate its dual mandate
The global economic landscape is currently presenting a nuanced picture, where disinflationary trends are taking hold in some key regions while new, aggressive trade-related tariffs, particularly in the United States, continue to exert upward pressure on prices. This creates a challenging environment for businesses, consumers, and policymakers alike, demanding strategic
The global energy landscape is currently navigating a treacherous sea, buffeted by the simultaneous geopolitical storms of the Ukraine War and the Israel-Hamas conflict. These two major flashpoints are jointly contributing to extreme volatility across oil, natural gas, and coal markets, forcing a dramatic recalculation of energy strategies worldwide. From
The global financial landscape is undergoing a monumental shift, marked by the effective expiration of the petrodollar system in June 2024. This historic development sees Saudi Arabia, a cornerstone of the original agreement, no longer exclusively accepting US dollars for its oil sales. Instead, the Kingdom is now open to
The global financial landscape in 2025 is being profoundly shaped by a potent cocktail of escalating geopolitical tensions and a reconfigured U.S. political administration. From the volatile battlegrounds of the Middle East to the contentious trade corridors with China, these flashpoints are sending ripples through global supply chains and
Phillips 66 to acquire remaining 50% stake in WRB Refining LP from Cenovus Energy for $1.4 billion, gaining full ownership of two US refineries and simplifying operations.
The global economy is currently grappling with a projected deceleration in GDP growth, a situation severely exacerbated by an unprecedented escalation of U.S. tariffs. These twin forces are creating a potent cocktail of stagflationary pressures, threatening to disrupt corporate supply chains, erode investor confidence, and reshape the landscape of
Financial markets are holding their breath as the highly anticipated August 2025 Consumer Price Index (CPI) report looms, a critical barometer for inflation and a potential swing factor for the Federal Reserve's monetary policy. With inflation stubbornly hovering near the 3% mark, this economic data release, scheduled for Thursday, September
Global financial markets are witnessing a significant and potentially enduring shift, as investors increasingly rotate capital away from the long-dominant mega-cap growth stocks towards their undervalued counterparts: small-cap and value-oriented companies. This pivotal recalibration, gaining substantial traction in August 2025, signals a broadening of market leadership beyond a select few
Despite widespread market expectations for a September interest rate cut, the Federal Reserve finds itself navigating a perilous economic landscape marked by persistently high inflation. Stubbornly "sticky" services inflation, coupled with the escalating impact of new tariffs on core goods, is creating a complex dilemma for policymakers. While a cooling
The financial markets are currently gripped by a palpable sense of unease, as a perfect storm of economic data, geopolitical events, corporate earnings, and Federal Reserve policy decisions conspire to fuel an unprecedented surge in market volatility. Investors and analysts alike are grappling with a rapidly shifting landscape, where sudden
The specter of persistent inflation continues to loom large over the global economy, with stubbornly high shelter costs emerging as a key antagonist in the Federal Reserve's battle for price stability. This enduring inflationary pressure is significantly influencing the central bank's "higher for longer" interest rate policy, creating a complex
The global financial landscape is currently in a state of heightened apprehension, grappling with a complex confluence of escalating geopolitical risks. The specter of President Trump's proposed "reciprocal tariffs," coupled with China's swift retaliatory measures and the persistent instability arising from international conflicts in Ukraine and the Middle East, is
Moss agate has a calm, organic look that shines when the wedding band is chosen with intention. The right band frames the stone, highlights its patterns, and makes the set comfortable for everyday wear. Below is a clear guide to pairing, with options for different shapes, styles, and lifestyles. You will also find practical tips on fit, height, and maintenance so your stack feels great on the finger.
Wall Street finds itself once again at the precipice of significant economic uncertainty as the specter of new tariffs looms large. The potential for a resurgence of aggressive trade policies, particularly under a possible Trump administration, has ignited concerns across financial markets. Analysts and economists are forecasting a substantial drag
The U.S. economy is facing a concerning outlook for late 2025, with the Organisation for Economic Co-operation and Development (OECD) sounding the alarm on a potential "stagflation-lite" scenario. This dual threat of slowing economic growth and persistently high inflation presents a formidable challenge, risking reduced purchasing power for consumers,
As the summer fades and financial professionals return to their desks, the specter of the "September Effect"—a historical tendency for stock markets to deliver their weakest performance of the year—looms large over global equities. For September 2025, this seasonal anomaly is amplified by a complex web of economic
If you want a unique engagement ring, start with what makes a piece feel personal in daily use. Not hype. Not trends. Think about how the stone looks in real light, how it stacks with a band, and how it handles wear. Three gems stand out for this kind of choice: moss agate, alexandrite, and sapphire. Each solves a different problem and tells a clear story.
The financial markets are currently undergoing a profound transformation, witnessing a significant reallocation of capital from the once-unstoppable technology and Artificial Intelligence (AI) sectors towards more traditional, cyclical segments of the economy: energy and industrials. This "great rebalancing," which has gained substantial momentum in 2025, signals a pivotal recalibration by