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Impact of Trump's Inauguration on the Ruble Exchange Rate: Analysis and Forecasts

... fluctuations in the ruble's exchange rate and take measures to diversify their assets in order to minimize the impact of currency risks. After Donald Trump's inauguration, the Russian stock market may experience heightened volatility, as his policies and initial ... ... regime against Russia. Should external factors be unfavorable—for instance, stringent sanctions or a deterioration in the geopolitical situation—the ruble may weaken, and the dollar's exchange rate could temporarily rise to 110-120 rubles. These ...

ISM Services PMI Beats Forecast; S&P 500 Rises as Fed Remains Cautious

... for interest rates. If the Fed perceives that inflation in the service economy is not abating, it may choose to keep monetary policy tighter for longer, which can be a headwind for equities. Moreover, wider risks – from global economic slowdowns to geopolitical tensions – continue to cap risk appetite. As a result, while the ISM news gave stocks a welcome lift, further upside for the S&P 500 index may hinge on evidence that inflation is coming under control, allowing central banks some leeway to ease up on tightening. Central Bank Outlook: ...

Economic News: Saturday, July 26, 2025 - CBRF Reduces Rate, Wall Street Hits New Highs

... precious metal traded around $3,340–$3,350, which is 0.5–1% lower than recent highs. The pressure on gold came from increased risk appetite and a partial strengthening of the dollar amidst trade optimism. Moreover, strong employment data in the US reduced ... ... fundamental drivers for demand for precious metals remain intact: inflation in Western economies is still above target levels, geopolitical tensions persist, and a potential shift in central banks' approach towards easing looms ahead. Analysts note that ...

Investors on Alert: Stability in Russian Services and Rising Composite PMI — What's Next?

... reflecting limitations on speculative operations. In the near term, the ruble will be sensitive to external factors (oil prices, geopolitical issues) and internal expectations regarding the Central Bank's policies. Bond Market The bond market has not exhibited ... ... indicators as a signal of moderate optimism; however, high inflation and sanctions continue to impose restraining factors on risk positions. Conservative scenarios dominate the stock and bond markets: portfolios are balanced and awaiting clearer signals....

Major US Banks Launch Spot Bitcoin ETFs in 2025: Impact on Bitcoin and Investors

... economies approach cryptocurrencies will influence the smooth integration of Bitcoin into the traditional financial system. Macroeconomic conditions add another layer of uncertainty. If the global economy faces turmoil or sharp interest rate hikes in 2025, risk assets like Bitcoin may encounter headwinds. For example, rising rates or a strengthening dollar could temporarily dampen interest in BTC as investors shift to safer instruments. Conversely, persistent inflation or geopolitical tensions could enhance Bitcoin's appeal as an alternative store of value. Nevertheless, in the event of a broad risk-off environment, Bitcoin is likely to experience sell-offs alongside other speculative assets. Both institutional and retail ...