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Energy Sector News August 6, 2025: US Pressure on India, Petroleum Product Exports and Energy Trends
... result,
oil companies
have seen prices decrease to levels close to what is comfortable for
OPEC+
(around $65–75 per barrel).
Analysts note that seasonal factors also play a role: the summer peak in fuel demand in the Northern Hemisphere is coming to an ... ... the aforementioned U.S. tariffs) — intensify concerns about global economic growth. Some financial institutions are revising forecasts: several investment banks predict an average Brent price in Q4 2025 at around mid-$60, which is lower than current figures....
What is PPI: The Prominflation Report and its Importance for Investors
... commodity prices, and financial markets.
Where it is most often found:
Economic reports and publications by central banks (e.g., the Federal Reserve in the US or the Central Bank of Russia).
Financial and analytical sites such as Bloomberg, Reuters.
Forecasts for inflation expectations and monetary policy.
Real case example:
In March 2021, the US saw a sharp increase in the PPI by 1% compared to the previous month, which was higher than analysts expected. The main reason was a jump in commodity prices, including oil and metals, due to the global economic recovery from the COVID-19 pandemic. The rise has fueled inflation concerns, pushing down bond yields and correcting tech stock prices....
How S&P 500's Dependency on China's Economy Affects Stock Returns and Investment Risks
... and a population exceeding 1.4 billion, China has long been the largest market for retail sales and smartphones. For instance, analysts have noted that for Apple Inc., the Chinese consumer market is its largest smartphone market, and a decline in sales ... ... consumption on global markets is significant: a decline in sales in China typically results in a drop in revenues and earnings forecasts for the corresponding companies on the stock markets of the U.S. and other countries.
Meanwhile, China is pursuing a ...
S&P 500 and Stop Trade Levels 2025: The Worst Three Days Since 1987
... The last three trading sessions were characterized by the highest volatility since 1987, raising concerns among investors and analysts worldwide.
What are Circuit Breakers?
Circuit breakers are protective mechanisms on exchanges that temporarily halt trading ... ... U.S. showed accelerating inflation, intensifying expectations for tighter Federal Reserve policies.
Earnings Season
Negative forecasts from major banks and tech companies are exacerbating panic selling.
Implications for Investors
Increased volatility ...
Key Economic Events and Corporate Earnings: Week of August 4 - 8, 2025
... Consumer Price Index (CPI) for July. Inflation data in Turkey is crucial for assessing the country's monetary policy and the lira's dynamics.
11:30 (Eurozone): Sentix Investor Confidence Index for August. Reflects the mood of European investors and analysts at the beginning of the month.
17:00 (USA): Factory Orders for June. An indicator of demand for manufactured goods in the U.S., affecting GDP forecasts.
Corporate Earnings:
Before market open:
Palantir Technologies, BioNTech, Tyson Foods, ON Semiconductor. Morning reports will set the tone for the week: Palantir will report amid hype around AI, BioNTech will present results following a vaccine ...