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Tuesday, 3 December 2024: Analysis of Key Events and Reports

... prices, and trade relations, potentially shaping the direction of financial markets. Tuesday, 3 December 2024: Analysis of Key Events and Reports On Tuesday, 3 December 2024, several significant macroeconomic indicators and corporate reports are scheduled ... ... An increase in CPI may indicate rising price pressures, influencing the Central Bank of Turkey's decisions regarding interest rates. 10:30 MSK: Switzerland – Consumer Price Index (CPI) for November. Changes in Switzerland's inflation levels affect the ...

Energy Sector News – Thursday, July 31, 2025: Brent Exceeds $72; US Fed Keeps Rate Unchanged

... Russia (including potential new restrictions from the U.S.) and the course of trade negotiations between the U.S. and China, India, and other countries will affect global oil and gas supply chains. Economic Growth and Demand: Macro-economic indicators in key countries – growth rates of GDP and industry in China, the U.S., Europe, and India – will determine the consumption dynamics for oil, gas, and electricity. Strong data (such as a 3% GDP growth in the U.S. in Q2 2025) supports optimism; however, economic slowdowns anywhere ...

Weekly Economic Events Calendar for U.S. and European Traders (November 25–29, 2024)

The upcoming week, from November 25 to 29, 2024, is set to be eventful with significant economic developments that could impact financial markets in Europe and the U.S. Traders should closely monitor key macroeconomic indicators, including Germany's Ifo Business Climate Index, China's interest rate decisions, the release of the U.S. Federal Open Market Committee (FOMC) meeting minutes, and GDP and inflation data from the Eurozone. Additionally, speeches from central bank officials may provide insights into future monetary policies. A detailed ...

Global Investment Outlook for 2025: Challenges, Trends, and Investment Strategies

... issues prompt investors to consider ESG factors when building portfolios. This is particularly relevant for companies operating in sectors such as agriculture, construction, and energy. What Should Investors Focus On? Reports and Indicators Monitor key economic indicators, such as unemployment data, inflation rates, and consumer spending. These metrics can signal upcoming changes in monetary policy. Sectors and Regions Focus on regions with high growth potential, such as Southeast Asia and Africa. Traditional sectors like healthcare and technology remain resilient ...

Inflation: What It Is, Why It Is Dangerous, and How to Protect Your Money

... those on fixed incomes, as their earnings are effectively devalued. Second, high inflation creates economic uncertainty: businesses cannot accurately plan investments and expenses, raising the risk of project losses. The central bank must increase the key interest rate to "cool down" the market, making loans more expensive and slowing economic growth. Furthermore, during rapid devaluation of money, people tend to spend or invest their funds more quickly, which can lead to an overheating economy and new ...