
Taxation · 04/01/2025
Trumps 20 Tariff Plan Sparks Economic Worries
The Trump administration is considering imposing a 20% tariff on most imported goods, leading economists to warn of potential economic recession and rising unemployment. Market reactions are tepid, and experts advise caution regarding the possible impacts.

Taxation · 07/30/2025
Businesses Advised to Adjust to New Tariff Regulations
U.S. Treasury Secretary Brunner expressed confidence in businesses regarding the upcoming tariff policy changes, urging no need for panic. However, companies must still prepare for the forthcoming challenges, especially small businesses, which are feeling the pressure along with rising food prices.

Finance · 10/06/2023
Gold Prices Plummet Amid Severe Market Correction
Gold prices have fallen for nine consecutive days following the FOMC meeting, with the RSI dropping below 20, indicating an extreme oversold condition. Despite rising yields weighing on the gold market, support levels remain intact. Investors should carefully monitor future trend changes.

Finance · 02/04/2022
Gold Prices Face Adjustment The Tug Of War Between Safehaven Sentiment And A Strong Dollar
This week, gold prices fell slightly due to a strong dollar and rising U.S. Treasury yields. Although gold has stabilized around $1,800, fluctuations in global risk appetite and economic data may prompt investors to re-evaluate gold's value as a safe-haven asset.

Finance · 07/31/2025
US Stock Market Shows Three Overheating Signs Investors Warned
The U.S. stock market has seen a strong rebound this summer, but potential overheating signals are increasingly concerning. These include a sensitive response to tariff news, rising margin balances, and the growing influence of AI. Investors should remain vigilant to navigate potential market risks.

Loans · 07/25/2023
Credit Application Bottlenecks Hit America Rejection Rates Soar to Multiyear Highs Amid Rising Borrowing Costs
The latest survey by the New York Fed reveals that the rejection rate for credit applications has widely increased across various types of loans in the U.S., particularly for mortgages and auto loans. Applicants with high credit scores are less affected, while rising borrowing costs have pressured Americans' willingness to take out loans.

Finance · 07/23/2025
The Importance of Homeowners Insurance and Its Investment Potential
This article explores the significance of home insurance and its impact on personal finances, providing a detailed analysis of property value concepts and growth methods. It discusses strategies such as rising home prices, down payments, timely mortgage repayments, and home improvements, offering practical wealth management advice for homebuyers.

Education · 08/05/2025
Purdue University Hits Record High in Global Academic Rankings
Purdue University has achieved remarkable results in the 2025 Times Higher Education World University Rankings, rising to 79th globally and 32nd in the United States. The university has excelled in various metrics such as research quality and funding support, further solidifying its influence in the international academic community.

Finance · 07/22/2025
Surge In Risk Appetite Small-cap Stocks Face Headwinds As Tech Leads The Market
The US stock market is experiencing a surge in risk appetite driven by technology stocks, with the S&P 500 and Nasdaq nearing all-time highs. However, small-cap stocks are underperforming due to structural differences, and the combination of rising earnings expectations and external risks is complicating market sentiment.

Telecom · 07/18/2025
Money-saving Tips to Avoid Broadband Price Increases in 2025
This article discusses effective strategies to avoid price increases from broadband companies by 2025. It includes detailed pricing and features of various broadband services, helping users choose the most cost-effective options. Additionally, it offers professional customer support and advice to assist users in addressing concerns related to rising bills.

Finance · 08/05/2025
Caterpillar Profits Drop 21 Amid Global Economic Slowdown
Caterpillar reported a 21% decline in profits for the second quarter, mainly due to global supply chain challenges and rising operational costs. The company is focusing on energy infrastructure projects and product diversification to stabilize revenue and seek new growth opportunities. Despite the difficulties, management remains optimistic about the future.

Insurance · 02/21/2022
Rising Auto Insurance Premiums in the US Inflation Pressures and Traffic Accident Rates on the Rise
In the U.S., auto insurance rates continue to rise due to inflation and a rebound in traffic accidents, prompting several insurance companies to increase their premiums. The rates, which dropped in 2020 due to the pandemic, are recovering as traffic volume and accident numbers rise, leading to increased claims costs. The rapid increase in premiums in some states has sparked consumer protests, indicating a grim outlook for the future.

Insurance · 08/21/2024
2024 US Auto Insurance Rates Soaring California And Minnesota Drivers Hit Hardest
In 2024, auto insurance premiums in the U.S. are expected to rise significantly, with rate increases reaching up to 50% in some states. Multiple factors, including climate change and rising repair costs, are driving this surge in premiums. Drivers will need to reassess their insurance plans to cope with the financial pressure.

Finance · 08/06/2025
US Stocks Decline Amid Trump Policies Economic Worries
The US stock market suffered a sharp decline due to poor employment data and Trump's increased military deployment policies, leading to market anxiety about economic prospects. Rising unemployment, high tariff policies, and escalating geopolitical tensions have intensified investor panic. The future direction of economic policies will be a key focus for the market.

Finance · 08/06/2025
US Treasury Etfs Face Volatility As Rates Currency Risks Rise
US Treasury bond ETF investors face dual pressures from rising interest rates and exchange rate fluctuations. The article analyzes the conditions necessary for hedging, including the extent of interest rate declines, exchange rate stability, and holding duration. It reminds investors to pay attention to asset allocation and market volatility during the investment process.