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Dedollarization of Global Finance: Reducing Investments in US Treasury Securities
... basket of six major currencies, has reached its highest level since November 2022. At the same time, the euro (EUR) has fallen to its lowest values against the dollar in that same period.
Factors Influencing Currency Movement:
Dollar Strength:
Positive economic data from the U.S., including job growth and economic resilience.
Revised expectations for Federal Reserve monetary policy, which may keep rates high longer than previously anticipated.
Increased demand for safe assets amid global uncertainty.
Euro Weakness:
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Technical Analysis in Trading: How to Read Charts and What Do the Figures Mean
... basic ideas underlie the method and help us understand why traders trust price charts:
Everything is taken into account in the price. It is believed that all available factors have already been reflected in the current price of an asset: reports, news, economic conditions. The market (a group of traders and investors) has analyzed the fundamental data and incorporated them into the price through its actions. Thus, prices are not accidentally “too high” or “too low” – the market has already taken into account the known information. Therefore, a technical analyst does not need to study ...
Countercyclical Capital Buffer: What It Means for Investors
... for Investors?
Recent data from Rosstat and the Ministry of Economic Development of Russia indicate a slowdown in inflation within the country. Annual inflation from October 28 to November 5, 2024, has decreased to 8.39% (according to Rosstat), while data from the Ministry of Economic Development for the same period reflects a decline to 8.53%. Since the beginning of the year, inflation has reached 6.75%. The question for Russian investors is how this may impact investment strategies and what opportunities the current economic ...
Economic News August 17, 2025 - Global Markets, Inflation, and Company Reports
... macroeconomic factors and prospects for monetary policy: market participants are assessing how the received inflation and demand data might influence future Fed decisions.
European Company Earnings Reports
European markets also do not expect new financial ... ... published their second-quarter results earlier. In general, the European corporate season has progressed well: despite a slowdown in economic growth in the region (Eurozone GDP in Q2 +0.1%), many corporations reported stable profits. The banking sector, benefiting ...
Economic News August 10, 2025 — Trade Wars, US-Russia Negotiations, Fed's Soft Policy
... signal that the global tightening cycle has come to an end. Such steps enhance conditions in financial markets—borrowing costs are declining, supporting business activity. At the same time, regulators emphasize that further decisions will depend on new data regarding inflation and economic growth.
China: Price Deflation and Epidemiological Risks
The Chinese economy faces deflation:
Recent data from China indicates a halt in the growth of consumer prices. In July, the CPI index in China showed no change compared to the previous ...