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Thursday, December 5, 2024: Analysis of Key Events and Reports
In this comprehensive analysis, Sergey Tereshkin examines the pivotal economic events slated for Thursday, December 5, 2024. The article delves into significant macroeconomic indicators, including Switzerland's unemployment rate, Germany's manufacturing orders, and the Eurozone's retail sales figures. A focal point is the OPEC+ meeting and its potential ramifications on global oil prices and the Russian economy. Additionally,...
Key Economic Events and Corporate Reporting: Week of July 28 to August 1, 2025
... 28 to August 1, 2025, a series of significant economic events are expected that will impact the global financial market and corporate strategies. Investors will closely monitor reports from major companies and statistics related to key macroeconomic indicators. Focus will be on the PMI index, unemployment data, inflation rates, and decisions by the Federal Reserve regarding interest rates. The published reports could considerably affect stock prices and forecasts for the U.S. market. Given the situation ...
What are the financial results of Europlan according to IFRS for 9 months of 2024?
... results of Europlan for the first 9 months of 2024 demonstrated steady growth. Net profit reached 11.3 billion rubles, an increase of 6.3% compared to last year. The company continues to increase its revenues, improving both interest and non-interest indicators. During the reporting period, Europlan purchased more than 43,000 units of equipment for leasing, and the volume of transactions increased by 11%, which confirms the high demand for their services. The Board of Directors is considering paying ...
Economic Events and Corporate Reports - Tuesday, August 5, 2025 - PMI Index and US Trade Balance
... influencing global financial markets will be released. The July 2025 PMI index is expected to reflect the state of the manufacturing sector in the USA. Additionally, data on the country's trade balance for June 2025 will be presented, serving as a key indicator of external economic activity. Among the corporate reports, the financial results of AMD for the second quarter of 2025, as well as reports from BP and Ozon, will attract interest. These events may impact the stock market and investor expectations....
Historic Decline in Interest: Why Institutions Are Turning Away from "Great Seven" Stocks
... long position, reflecting a sharp decline in optimism. Concurrently, the net long exposure of hedge funds to the "seven" has decreased by approximately 8 percentage points over the past year, falling to around 13%, close to a two-year low, indicating a decline in growth expectations. This caution among institutional investors towards the largest tech companies is historically unique and is already affecting market dynamics and current sentiment.
Notably, this comes despite a partial recovery ...