Found: 128

Economic News August 3, 2025 — Fed Rate Cut, Apple and Meta Reports, Gold Price Increase

... to support business activity. At the July 30 meeting, the Fed, as expected, maintained the rate at ~5.5%. However, signs of economic slowdown have intensified conversations about an imminent shift in monetary policy. Yields on long-term U.S. Treasury bonds have declined, and the dollar has weakened. Slowing inflation in the U.S. (core ~3.3% y/y in June) provides the regulator with additional room to maneuver. Expectations for a more dovish Fed are now dominant – investors are convinced that the ...

Macro Economic Forecast for 2025: Key Insights from the Macro Outlook 2025 Report

... 2025, linked to uncertainties in monetary policy. Sectors showing resilience include: Technology, particularly in artificial intelligence and automation. Green energy and sustainable development. Healthcare, including biotechnology and pharmaceuticals. Bond Market Long-term bonds remain under pressure due to expected rate increases. Investors seek safe-haven assets such as U.S. government bonds and gold to mitigate risks. Commodity Markets Energy: Oil and gas prices remain volatile due to the global ...

Monday, November 25, 2024: Analysis of Key Events and Reports

... Markets: U.S. economic indicators, such as the Chicago Fed National Activity Index, can sway investor sentiment. Positive data may bolster U.S. equities, while also impacting European markets through interconnected global trade and investment flows. Bond Markets: Central bank communications, especially from ECB officials, can influence bond yields. Hawkish tones may lead to rising yields, affecting borrowing costs and investment strategies. Key Considerations for Traders Monitor Economic Indicators: ...

Foreign Stocks Restricted for Unqualified Investors from 2025: What It Means?

... and without access to them, retail investors will have to seek alternative ways to safeguard their savings. Increased Demand for Russian Assets With the introduction of restrictions, non-qualified investors may shift their focus to Russian stocks and bonds. This could lead to a rise in demand for domestic financial instruments, especially for securities of large companies and government bonds, which are considered reliable assets. Limitation on Portfolio Diversification Opportunities Foreign assets ...

Diversification of Risks when Investing in Securities

Investing in securities is one of the most popular investment avenues. It is favored by many experienced investors due to the accessibility of bonds and stocks from various companies. These can be easily purchased on different exchanges. Investing in securities is one of the most popular avenues in finance, favored by many seasoned investors. This preference is largely attributed to the accessibility ...