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Cryptocurrency News for August 6, 2025 — Visa, PayPal, XRP and Regulation

... linked wallets (including third-party wallets such as MetaMask or Coinbase Wallet), while sellers will receive revenue in stable currency. The conversion from 'crypto to fiat' occurs instantly through the PYUSD stablecoin, reducing volatility risks for businesses.... ... aiming to attract small and medium enterprises to utilize crypto payments. This initiative significantly simplifies cross-border trade and lowers costs, advancing the adoption of cryptocurrencies in mainstream commerce. Banking Sector: Following the passing ...

Tuesday, November 19, 2024: Key Economic Events for Investors

... construction starts, a key indicator of the real estate market’s health. Canadian CPI (October) – Also at 16:30 GMT, inflation data from Canada may indicate whether the Bank of Canada could adjust its interest rate policy soon. Impact on Markets: Currency markets could see increased volatility following the release of inflation and trade balance data from the Eurozone and Canada. These economic indicators will give investors clues about the future policy actions of the ECB and the Bank of Canada. Housing data in the U.S. will also provide valuable insights into economic activity ...

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

... while China and some emerging markets maintain a dovish monetary policy to stimulate economic growth. Global Imbalances Rising public debt: Many countries continue to borrow to support their economies, creating risks for financial system stability. Trade balance deficits: Major import-oriented economies, such as the United States, remain vulnerable to fluctuations in currency markets. Capital Markets Stock Markets High volatility is expected in 2025, linked to uncertainties in monetary policy. Sectors showing resilience include: Technology, particularly in artificial intelligence and automation. Green energy and sustainable ...

European Economy Losing Competitiveness: Causes and Consequences

... decline: The manufacturing sector remains stagnant due to decreasing global demand and high energy prices. Geopolitical factors: Trade disputes and potential tariffs increase uncertainty. What investors should pay attention to: Sector-specific risks: Export-oriented ... ... are implemented. ECB: Monetary policy will be a key tool in supporting the economy, with an interest rate cut likely in 2025. Currency market: Potential economic slowdown may weaken the euro, creating opportunities for currency traders. Recession risks: ...

Economic News August 2, 2025 — US Labor Market, Trade Truce, Amazon and Samsung Reports

... However, Asian investors remain vigilant overall: the slowing factor from China, the risks of global recession, and potential new trade disputes (e.g., between the US and China) may temper current optimism in the second half of the year. Russia: Stable Ruble ... ... restrained, as the central bank’s decision was largely anticipated and priced in in advance. Moreover, ongoing sales of foreign currency receipts by exporters and cautious interventions by the regulator help smooth out exchange rate fluctuations. As a result,...