Oil India Limited is an India-based integrated exploration and production company in the upstream sector, which is engaged in providing crude oil and natural gas. The Company's segments include Crude Oil, Natural Gas, LPG, Pipeline Transportation, Renewable Energy and Others. It owns and operates...
As a major oil refiner, Indias deepening integration into global economy highligjts its markets' role in shaping international strategies and promoting insights into resilience and interdependencies amid uncertainty. Oil prices (WTI) are positively associated to WTI futures, reflecting the forward-looking...
•The palm oil sector is a crucial source of income for millions of Indonesians. Without palm oil, they might need to live their lives in full-blown poverty; and •Palm oil requires less fertilizers and pesticides than any other vegetable oil. ...
SECTOR COMMENTARY: Energy stocks are poised for a muted open, backed by modest gains in the underlying commodities while the broader index futures trade lower following last week’s rally, supported by blowout economic data and better-than-expected earnings from the major banks. Investors are braci...
Consequently, the growth in world trade is more sensitive to rises in oil prices than in the past due to the growing importance of emerging economies like Brazil, China and India. The increased flow of portfolio money (in the form of stocks, bonds and mutual funds) means that oil price ...
In contrast, the world economic uncertainty has only a limited direct impact on the FIAIX, indicating the resilience of the Saudi financial sector to fluctuations in global uncertainty. In terms of economic growth, positive shocks have a greater impact than negative shocks due to the volatility ...
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Investing ideas in oil and gas stocks has paid off for investors in the past year. Rising energy prices have made fortunes for the energy companies and investors but this is a volatile sector. As the energy sectors transitions investors have to stay on top of the latest news and trends. Le...
ending stocks, while Figure 2 (b) shows the moving-window correlation coefficient between WTI crude oil price and SP500. In this paper, the moving width is designed as 100, which can avoid the uncertainty of increasing the correlation coefficient due to a too-short time window, and it can...
The results of this model show that both short-term and long-term volatility in the prices of stocks and oil persist. Geopolitical risk is found to have a positive association with oil returns and a negative correlation with stock returns, according to the results of the DCC model. In ...