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Global Q2 Reporting Deluge Points to Sharp Divergence Between Hard Assets and Consumer Franchises

From Swiss Re and Wharf REIC to Century Aluminum, Core Natural Resources and Pacific Basin Shipping, a broad cross-market earnings wave reveals resilient commodity and insurance cash flows against faltering discretionary demand.

A dense international earnings slate spanning European insurance, Asian property, North American materials and global shipping landed in the same window, offering a rare synchronised read on the cycle. The dispersion is the story: capital-heavy, hard-asset and balance-sheet businesses are printing durable results while consumer-facing and rate-sensitive models remain under pressure.

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