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Economic Events and Corporate Reports - Monday, July 28, 2025 - OPEC+ Meeting, Dallas Fed Index
... financial markets exhibit cautious optimism. Investors are assessing prospects and adjusting strategies in anticipation of a series of important events that could significantly influence trading dynamics. The focus is on the situation in raw material markets, the upcoming U.S. Fed meeting, as well as preliminary data on inflation and business activity in major economies. Many analysts have already incorporated in their forecasts the likely maintenance of current monetary policies by leading central banks and considered the expected financial results of major companies. Overall, markets are in wait-and-see mode: ...
Where is it Easiest to Create a "Unicorn" Company in 2025
... entrepreneurial culture. China offers a colossal market and generous investments; however, it is more suitable for domestic startups due to language and regulatory barriers. The United Kingdom and Western European countries (especially France, Germany, and Nordic economies) are creating ever-better conditions—a combined EU market, government incentives, and an expanding venture sector—hence London, Berlin, and Paris firmly enter the ranks of global top hubs.
Israel and Singapore stand out distinctly: although they are relatively small in size, their examples showcase ...
Macro Economic Forecast for 2025: Key Insights from the Macro Outlook 2025 Report
... opportunities.
Inflation and Monetary Policy
Inflation in 2025 remains above target levels in many countries, despite central banks' efforts to curb it.
Further rate hikes are expected in regions like the United States and the Eurozone, while China and some emerging markets maintain a dovish monetary policy to stimulate economic growth.
Global Imbalances
Rising public debt: Many countries continue to borrow to support their economies, creating risks for financial system stability.
Trade balance deficits: Major import-oriented economies, such as the United States, remain vulnerable to fluctuations in currency markets.
Capital Markets
Stock Markets
High volatility is expected ...
Buffett Indicator Hits Records: A Sign of Overheating in the US Stock Market
In the financial world, the Buffett Indicator is one of the most discussed metrics that can provide insight into the current state of the US stock market. According to the latest data, this indicator is reaching record levels, raising concerns among investors about the potential formation of a bubble in the stock market. The situation on the stock market, characterized by high overvaluation and overbought conditions, raises questions about the possibility of a market crash. In this article, we will analyze the Buffett Indicator, its significance in the context of a stock bubble, and provide recommendations for investors.
The Buffett Indicator ...
How S&P 500's Dependency on China's Economy Affects Stock Returns and Investment Risks
... the export of semiconductors and other high-tech products, and measures against Chinese companies come into effect. In response, Chinese authorities adopt similar measures (for example, temporarily suspending Boeing supplies). In this scenario, the market experiences short-term shocks, but a complete “decoupling” of the economies does not occur. Nevertheless, many companies are adjusting forecasts: it is already possible to speak of increased investment risks and rising volatility in sectors most sensitive to changes in trade relations.
Geopolitical and Tariff Risks
The current geopolitical tension in U.S.-China relations significantly heightens investment risks in global markets. New tariffs, restrictions,...