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Economic Calendar for Investors and Traders (December 9-13, 2024)

The week of 9–13 December 2024 is set to be pivotal for investors and traders, with significant economic data releases and central bank decisions poised to influence global financial markets. Key events include the U.S. Consumer Price Index (CPI) report, which will provide insights into inflation trends and potential Federal Reserve policy adjustments. The European Central Bank (ECB) is anticipated to announce ...

Top 10 Cryptocurrencies as of April 2025: Overview of Best and Promising Cryptocurrencies

... transactions and smart contracts in this network require payment in BNB. Thus, as the number of decentralized applications on BNB Chain grows (decentralized exchanges, games, services, etc.), demand for Binance Coin increases. Thirdly, BNB is perceived by investors as a separate asset whose value reflects the success of Binance and the broader ecosystem. Many hold BNB long-term, anticipating growth alongside Binance’s expanding market influence. Popularity and Prospects: In 2025, BNB ranks among the top five largest cryptocurrencies, reflecting both the size of Binance's business empire and the popularity of the token itself. The coin has long surpassed the bounds of the bonus program,...

What is a pre-IPO and how do companies prepare to go public?

... corporate governance, strengthened the control structure and brought financial reporting in line with international standards. Investors, B2B marketplace is a promising business that seeks to change the oil products market in Russia. Features of pre-IPO ... ... including increased requirements for disclosure of information, the need to take into account sanctions restrictions and the influence of macroeconomic factors. Unlike developed markets, Russian companies often face instability in the stock market, as ...

Cryptocurrency News, Thursday, August 7, 2025 — Market Awaiting Momentum; Institutional Players Expanding Presence

... currently oscillating without sharp fluctuations. Partial profit-taking following impressive growth is seen as a healthy correction – such consolidation lays the groundwork for a potential new upward move. External macroeconomic factors continue to influence investor sentiment. Global markets are maintaining caution due to geopolitical uncertainty and anticipating new signals from the US Federal Reserve concerning monetary policy. The absence of negative surprises – for example, the Fed’s base rate remained ...

Record US National Debt Exceeds $36 Trillion: Threats and Prospects for Investors

... to include technology and resource companies that may be resilient to interest rate changes and inflation. The US national debt of $36 trillion is not only an economic statistic, but also an important signal for investors. As the debt burden rises, investors should closely monitor the actions of the Fed and Congress, which will influence market dynamics. In the context of high debt burden and inflation risks, an approach to asset diversification and the choice of protective instruments can be a key factor in maintaining stability and capital growth in the long term.