Investment Analysis | Page 12

Gold Forecast 2035: Bull, Bear, and Base Case Price Scenarios

Gold Forecast 2035: Bull, Bear, and Base Case Price Scenarios

A 2035 gold forecast with transparent bull, bear, and base-case price scenarios, historical context, institutional anchors, and long-term macro risks.

WMT Prediction for 2027: Key Catalysts for the Retail Giant

WMT Prediction for 2027: Key Catalysts for the Retail Giant

A catalyst-driven WMT 2027 forecast covering comparable sales, digital margins, advertising, tariffs, and membership growth.

IBEX 35 Analysis: 2030 Prediction and Spanish Market Outlook

IBEX 35 Analysis: 2030 Prediction and Spanish Market Outlook

IBEX 35 analysis for 2030 with a fact-based Spanish market outlook, scenario ranges, macro drivers, risks, and investor positioning.

How AI Could Change Broadcom Over the Next Decade

How AI Could Change Broadcom Over the Next Decade

An in-depth Broadcom AI outlook covering custom silicon, networking, VMware, software mix, and long-run AVGO implications.

The DJ30 Bull Case: What Drives the Next Major Rally?

The DJ30 Bull Case: What Drives the Next Major Rally?

A balanced DJ30 bull case covering blue-chip earnings, AI productivity spillovers, rates, buybacks, and the risks that could still derail a rally.

S&P 500 (SPX) Analysis: 2030 Prediction and Long-Term Market Outlook

S&P 500 (SPX) Analysis: 2030 Prediction and Long-Term Market Outlook

A research-driven S&P 500 2030 prediction covering valuations, earnings, AI, concentration, macro risks, institutional assumptions, and scenario ranges.

Why the HSI Could Slide: Threats to the HK Financial Hub

Why the HSI Could Slide: Threats to the HK Financial Hub

A bearish HSI risk analysis covering commercial real estate, global rates, China slowdown risks, drawdown scenarios, invalidation factors, and investor positioning.

DXY Forecast 2035: Where Is the Greenback Headed?

DXY Forecast 2035: Where Is the Greenback Headed?

A long-horizon DXY 2035 forecast covering reserve-system durability, BRICS initiatives, Europe’s outlook, geopolitics, and scenario ranges.

SMSN Prediction for 2027: Key Catalysts for the Tech Giant

SMSN Prediction for 2027: Key Catalysts for the Tech Giant

A 2027 SMSN forecast focused on HBM ramps, Galaxy AI, memory pricing, foundry progress, scenario ranges, and investor positioning.

Mitsubishi UFJ Forecast 2035: Bull, Bear, and Base Case

Mitsubishi UFJ Forecast 2035: Bull, Bear, and Base Case

A long-range Mitsubishi UFJ forecast for 2035 with bull, bear, and base cases built on BOJ policy, ROE, capital returns, and Japanese banking risks.

Why BNB Could Fall Next: Key Risks for Binance Investors

Why BNB Could Fall Next: Key Risks for Binance Investors

Why BNB could fall next: live price context, regulatory and ecosystem risks, correction-vs-crash analysis, downside scenarios, and cautious investor guidance.

Why BP Could Fall Next: Bearish Risks for BP Investors

Why BP Could Fall Next: Bearish Risks for BP Investors

A balanced BP bear case covering debt, weaker oil prices, buyback pressure, and what could invalidate the downside thesis.

The Nikkei Bull Case: What Could Drive the Next Japan Rally?

The Nikkei Bull Case: What Could Drive the Next Japan Rally?

A balanced Nikkei bull-case analysis covering governance reform, bank profitability, AI capex, wages, and the risks that could still break the rally.

BP Analysis: 2030 Prediction and Long-Term Energy Outlook

BP Analysis: 2030 Prediction and Long-Term Energy Outlook

A balanced BP 2030 forecast covering debt, buybacks, oil sensitivity, strategic reset, and the long-term energy outlook.

Why SIE Could Pull Back: Bearish Risks for Siemens

Why SIE Could Pull Back: Bearish Risks for Siemens

A balanced Siemens bear case covering valuation, automation risk, reorganisation, tariffs, and what could invalidate the downside thesis.

HSBC Prediction for 2027: Key Catalysts for the Global Bank

HSBC Prediction for 2027: Key Catalysts for the Global Bank

A catalyst-driven HSBC 2027 forecast covering NII, Asia wealth, restructuring, capital returns, and the main scenarios for investors.

The ALV Bull Case: Why Allianz Remains a Financial Fortress

The ALV Bull Case: Why Allianz Remains a Financial Fortress

A balanced Allianz bull case covering ALV solvency, capital returns, AI, insurance pricing, and why the financial fortress thesis still matters.

Why Platinum Prices Could Fall: Bearish Forces for PL

Why Platinum Prices Could Fall: Bearish Forces for PL

A balanced platinum bear case covering downside risks for PL, inventory dynamics, demand softness, substitution risk, scenario ranges, and what could invalidate the bearish view.

AIR Prediction for 2027: Key Catalysts for the Aviation Giant

AIR Prediction for 2027: Key Catalysts for the Aviation Giant

Airbus stock prediction for 2027 using AIR.PA catalysts including deliveries, free cash flow, supply-chain recovery, defence momentum, and aviation-market conditions.

Airbus (AIR) Forecast 2035: Bull, Bear, and Base Case Scenarios

Airbus (AIR) Forecast 2035: Bull, Bear, and Base Case Scenarios

Airbus stock forecast 2035 with bull, bear, and base case scenarios for AIR.PA using backlog, production ramp-up, free cash flow, defence, and aviation-demand outlook.

How AI Could Change the IBEX 35 Over the Next Decade

How AI Could Change the IBEX 35 Over the Next Decade

How AI could change the IBEX 35 through telecom, travel tech, sovereign AI, utilities, and Spain's digital strategy over the next decade.

The IBEX Bull Case: Why Spain Could See the Next Big Rally

The IBEX Bull Case: Why Spain Could See the Next Big Rally

A bullish IBEX 35 analysis covering Spain's growth edge, bank support, dividend strength, upside scenarios, and invalidation risks for Madrid stocks.

The IXIC Bull Case: What Could Drive the Next Tech Surge?

The IXIC Bull Case: What Could Drive the Next Tech Surge?

A disciplined Nasdaq bull case covering earnings breadth, AI monetization, rates, supply-chain easing, and scenario-based investor positioning.

How AI Could Reshape the Nasdaq Composite Over the Next Decade

How AI Could Reshape the Nasdaq Composite Over the Next Decade

An in-depth Nasdaq AI outlook covering concentration, capex, monetization, broad earnings effects, and long-run scenario probabilities.

The Visa Bull Case: Why V Could Continue Its Ascent

The Visa Bull Case: Why V Could Continue Its Ascent

A disciplined Visa bull case covering network strength, cross-border, services, B2B, and why V could move higher.

How AI Could Affect BNB Price, Adoption, and Volatility

How AI Could Affect BNB Price, Adoption, and Volatility

How AI could affect BNB price, adoption, and volatility through agent activity, UX upgrades, narrative premiums, execution risk, and forecast scenarios.

NOVN Analysis: 2030 Prediction and Swiss Pharma Outlook

NOVN Analysis: 2030 Prediction and Swiss Pharma Outlook

A balanced NOVN 2030 prediction covering Novartis growth drivers, Swiss pharma trends, pipeline strength, risks, and investor positioning.

DJ30 Analysis: 2030 Prediction and Blue-Chip Market Outlook

DJ30 Analysis: 2030 Prediction and Blue-Chip Market Outlook

A 2030 DJ30 outlook covering blue-chip earnings, price-weighting, industrial exposure, AI, institutional assumptions, and bull-bear scenarios.

DJ30 Prediction for 2027: Risks, Catalysts, and Growth Scenarios

DJ30 Prediction for 2027: Risks, Catalysts, and Growth Scenarios

A 2027 DJ30 outlook covering blue-chip earnings, sector risks, catalysts, growth scenarios, and prudent investor positioning.

Shanghai Composite Forecast 2035: Where Is China Headed?

Shanghai Composite Forecast 2035: Where Is China Headed?

A long-range Shanghai Composite 2035 forecast built around China growth, official SSE data, reform, property risk, bull-bear scenarios, and investor positioning.