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Economic Calendar for Investors and Traders (December 9-13, 2024)
... stock indices.
US: Annual Consumer Inflation Expectations (November) (19:00 MSK)
The New York Federal Reserve Bank report will show how the population assesses future inflation rates. This affects expectations for Fed monetary policy and, consequently, bond markets and the US dollar.
Bank of England Representative (Ramsden) Speech
Any statements on monetary policy or UK economic forecasts will be closely scrutinized by markets.
Key Monday Reports (US and Russia)
Pre-market
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Hello Group Inc ADR (MOMO): ...
Economic Events and Company Reports — Friday, August 1, 2025: Non-Farm Payrolls, PMI, and Reports from ExxonMobil, Chevron, Moderna
... around 12:00 MSK. It is expected that the annual growth of consumer prices will remain around 2%, with Core CPI exceeding the European Central Bank's target level. A slowdown in inflation could influence expectations regarding ECB interest rates and bond market sentiment. Additionally, final PMI indices for industrial activity in major European economies — Germany, France, the entire Eurozone, and the **United Kingdom** — will be published throughout the day. Preliminary July PMIs indicated a ...
The market is experiencing significant changes that will lead to global growth - Gracy Chen, CEO of Bitget.
... and risk management in the crypto market.
Tips for the downturn: To survive the bear market with minimal losses, Chen recommends revisiting investment approaches. She advises keeping funds in protective assets (stablecoins, tokenized gold, reliable bonds) and diversifying portfolios—this helps mitigate risks and wait for market recovery.
Fresh trends for 2025: Regulation and crypto integration into the financial sector, taxes on crypto profits, enhanced security (including biometrics and AI), ...
Pre-IPO Market: Features, Stages, Risks, and Strategy
... grown to several billion rubles, with the total transaction volume reaching approximately five billion rubles. This growth is attributed to several factors: the exit of traditional investors from risky markets, the challenges of raising capital through bond issuances amid high key interest rates, and the increased attractiveness of pre-IPO for promising companies under conditions of limited demand for conventional IPOs.
Thus, the Russian pre-IPO market can be characterized as a young but rapidly evolving ...
Economic Events and Company Reports - Friday, August 8, 2025: Trump's Ultimatum, Baker Hughes Rigs, Reports from The Trade Desk and Kenvue
... local assets can be expected. The Central Bank of the Russian Federation published analytical materials earlier this week indicating a slowdown in inflation in July, signaling a possible pause in raising the key interest rate. This supports interest in bonds: OFZ yields continued to decline, and the state bond index RGBI stabilized near local maxima. Thus, several narratives are intertwining in the Russian market today — corporate results, dividend expectations, and the influence of external politics ...