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Weekly Economic Events Calendar for Traders in the U.S. and Russia (November 11 – November 15, 2024)

This week brings a series of high-impact economic events for traders in the U.S. and Russia. From inflation and GDP updates in major global markets to central bank rate decisions and trade balance data, these events could set the tone for market movements. Key highlights include the FOMC ... ... negatively impact the euro, while strong readings may offer support. The U.S. PPI reflects inflation trends in the manufacturing sector, which may influence the dollar and Fed rate expectations. Wednesday, November 13 UK — Consumer Price Index (CPI, October) ...

Economic Calendar for Investors and Traders (December 9-13, 2024)

... of 9–13 December 2024 is set to be pivotal for investors and traders, with significant economic data releases and central bank decisions poised to influence global financial markets. Key events include the U.S. Consumer Price Index (CPI) report, which will provide insights into inflation trends and potential Federal Reserve policy adjustments.... ... pressure and high interest rates. Eurozone: Industrial Production (October) (13:00 MSK) Data will help assess the industrial sector's condition in the region. Russia: Q3 2024 GDP Data (19:00 MSK) Updated Russian economic growth indicator under high inflation ...

Economic Events and Company Reports - July 30, 2025

... and Microsoft may influence the broader economic context, including the dynamics of U.S. GDP and decisions from the Federal Reserve. Join us for analysis and forecasts for... ... the US will come out: at 15:15 Moscow time, the ADP employment report for the private sector is expected, which may show a recovery in job growth after a weak June (forecasts... ... growth is fueled by heightened market activity in spring (volatility spikes due to the banking crisis, interest rate changes, etc.). If the report confirms these figures,...

Economic Events and Company Reports - Friday, August 8, 2025: Trump's Ultimatum, Baker Hughes Rigs, Reports from The Trade Desk and Kenvue

... the new economy (e-commerce) and more restrained results in the industrial and energy sectors. In addition to corporate news, the internal conditions for the Russian Federation... ... external factors. The ruble remains under pressure due to potential new sanctions from the U.S. — if this threat materializes, a surge in volatility in the currency market and a decrease in risk appetite for local assets can be expected. The Central Bank of the Russian Federation published analytical materials earlier this week indicating...

Where to Invest One Million Rubles: Medium-Term Investments

... taxation features, and provide examples of diversified portfolios totaling 1 million ₽. Bank Deposits and Accounts Yield. Ruble deposits remain one of the conservative instruments:... ... Risks. The primary risk of corporate bonds is default or deterioration in the issuer's financial standing. Many companies must pay high interest rates on loans due to the... ... approximately 10% per annum (in dollars) over the long term. The advantage is broader sector diversification. The downside is currency risk: fluctuations in the exchange...