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S&P 500 and Stop Trade Levels 2025: The Worst Three Days Since 1987

... stop trades. What is behind this decline, which levels are critical, and how should investors respond? We analyze it in the article. S&P 500 and Circuit Breaker Levels 2025: The Worst Three Days Since 1987 April 2025 marked a turning point for the American stock market. The S&P 500 index faced a sharp decline, triggering the circuit breaker mechanism. The last three trading sessions were characterized by the highest volatility since 1987, raising concerns among investors and analysts worldwide. What are Circuit ...

What Awaits Investors in the Global Economy

... of securities. Any changes in the market will immediately affect it. If the implementation of programs for improving foreign policy is prolonged, the market will likely react with a decline. Should Investors Look to America? For many investors, the American market has been and remains quite attractive. Despite the decline in business activity, the US economy demonstrates resilience. However, experts believe that it is operating at its limits. Currently, there is a complete absence of an inversion of the ...

Monday, December 9, 2024: Analysis of Key Events and Reports

... a critical factor for Federal Reserve policy. If consumers anticipate rising inflation, this could bolster expectations for further interest rate hikes. Meanwhile, China’s lower CPI may ease inflationary pressures in U.S. import costs, benefiting American consumers and manufacturers. Impact on Investors Investors should pay close attention to the following factors: Currency Markets: The yen’s performance following Japan’s GDP data and the dollar’s response to U.S. inflation expectations will be key areas of focus. Any surprises could lead to significant volatility. Commodity Markets: Weaker inflation in China may suppress ...

Tuesday, November 26, 2024: Analysis of Key Events and Reports

... warehousing company. Performance will shed light on data management trends and cloud adoption rates. Implications for European and American Investors: Monetary Policy Signals: China's MLF rate decision and the U.S. FOMC minutes will provide critical insights ... ... of two major economies. Shifts in these policies can affect global liquidity, interest rates, and investor sentiment. Housing Market Indicators: Data on U.S. home prices and new home sales will shed light on the health of the housing sector, a key component ...

Collective Investment Market on the Rise: Global Trends and Prospects

... total assets under management by investment funds worldwide amounting to tens of trillions of dollars. The largest segment remains the United States, home to about half of the world’s mutual fund and ETF assets; it is estimated that more than half of American households have investments in investment funds. Europe and Asia are also showing a strong growth trajectory in the collective investment industry. The market’s growth is fueled by both new investor inflows and increasing asset values. In environments with low interest rates, capital actively flows into equity funds in search of yields, while during periods of rising rates, it shifts to more conservative ...