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Economic Events and Company Reports on August 11, 2025: Deflation in China, Russia's Trade Balance, Cisco and Deere Reports
... Day). The lack of trading in Japan means reduced activity in the Asian session; some investors will pause, and liquidity will be lower than usual. This may lead to more restrained fluctuations in Asian markets in the morning, as one of the region's key markets is temporarily inactive.
Europe: Inflation in Italy and Industrial Production in Turkey
Italy:
Final data will be released regarding the consumer price index for July, as well as trade balance statistics. Italian inflation will provide insights into price trends in the eurozone's third-largest economy....
How to conduct fundamental analysis?
.... The classic sequence of steps was proposed by the founders of the method (Benjamin Graham and David Dodd) and includes four main stages of analysis:
Macroeconomic analysis. At the first stage, the investor assesses the general state of the economy and the stock market. Key macroeconomic indicators are analyzed: GDP dynamics, inflation rate, central bank interest rates, unemployment rate, country's balance of payments, as well as general market sentiment (phase of the economic cycle, presence of crisis phenomena or, conversely, recovery). The political situation is also important: ...
Living Off Interest from Deposits – Myth or Reality
... is deposited in the bank, allowing the depositor to live off the interest, travel, and indulge in life's pleasures.
Since the Soviet era, many individuals have been... ...
(сергейтерешкин.ру).
Russian Realities
Few individuals research the market and conduct necessary calculations before placing money in a deposit. The reality... ... celebrate prematurely. The situation is more complex. There is a metric known as "inflation." Often, inflation rates are significantly higher than the deposit interest...
Record US National Debt Exceeds $36 Trillion: Threats and Prospects for Investors
... changes and inflation.
The US national debt of $36 trillion is not only an economic statistic, but also an important signal for investors. As the debt burden rises, investors should closely monitor the actions of the Fed and Congress, which will influence market dynamics. In the context of high debt burden and inflation risks, an approach to asset diversification and the choice of protective instruments can be a key factor in maintaining stability and capital growth in the long term.
How to Choose Investment Assets in an Unstable Market
... significant price fluctuations but can also present opportunities for speculative investments in times of high volatility.
Alternative Investments
In an unstable market, investors may consider alternative assets that have low correlation with traditional markets:
Cryptocurrencies. Despite their high volatility, cryptocurrencies can be used for diversification and as a means of hedging against inflation risks.
Hedge funds and private equity. These instruments offer more flexible capital management strategies, including arbitrage strategies, mergers and acquisitions, and macroscale strategies.
Principles of Portfolio Diversification
Diversification ...