Found: 35

Economic News — Friday, August 29, 2025: Inflation in the US and Germany, GDP of Canada, and Corporate Earnings

... projected inflation level for the coming year, this would be positive news for the Fed. Such a signal confirms the appropriateness of the chosen monetary policy direction and provides markets with reason for optimism (as the risks of further rate increases diminish). However, a rise in consumer inflation expectations would be a concerning signal: it indicates that the fight against inflation is still far from over. As a result of heightened inflationary concerns, market sentiment could deteriorate somewhat, as investors begin to incorporate ...

Why Bitcoin May Not Reach $100,000: A Sober Perspective from the Founder of Open Oil Market

... deter existing market participants. This may limit Bitcoin's growth and complicate its path to $100,000, as legal uncertainty diminishes the appeal of crypto-assets. 2. Market Volatility: The Greater the Hype, the Higher the Risk of Corrections The cryptocurrency ... ... movement. 3. Economic Uncertainties and Investor Preferences The global economy today is facing a high level of uncertainty: inflation, currency fluctuations, and rising interest rates—all of which favor safe-haven assets like gold and government bonds....

Gasoline Outpaces Inflation: Will Prices Continue to Rise at Gas Stations?

... months left in the season of high demand (the vacation period), there is ample time for gasoline prices to diverge further from inflation. This is particularly pertinent considering that, despite rising fuel prices, Russia has experienced deflation for two ... ... macroeconomic factors and added tax burdens. By September, the impact of the "gap reduction" (inequitable conditions) will diminish. However, there is a significant distinction from last year's gasoline situation. At that time, the primary price increase ...

U.S. Debt Reaches a Record $36 Trillion: Implications for the Economy and Investors

... record-high U.S. debt level has far-reaching effects on the domestic and global economy, with potential risks for financial markets. Diminished Dollar Stability The growing debt burden could weaken investor confidence in the U.S. dollar as a global reserve currency.... ... financial markets worldwide. Inflationary Pressures Financing debt and economic stimulus programs with borrowed funds could fuel inflation. As debt accumulates and interest rates rise, inflation expectations may intensify. Should inflation continue upward,...

Macroeconomic Events and Quarterly Reports of Major Companies on July 22, 2025: Reports from Coca-Cola, RTX, Equifax, SAP, UniCredit

... a wait-and-see stance. Macroeconomic events in Europe are currently evolving such that the ECB is balancing between fighting inflation and recession risks, and Lagarde has yet to reveal cards – this has kept the market from premature movements. Oil ... ... the entire observation period. Such an anomalous surge (presumably due to temporary factors like releases from reserves and diminished exports) pressured oil prices last week. The market wants to understand whether this was a one-off spike or a continuing ...