Found: 117

EU Faces Trade War Threat: Macron Warns Investors of Rising Risks with the US and China

... Investors should keep an eye on news in these areas and track the performance of relevant companies. Long-Term Investments in Resilient Sectors: In light of global changes, it is important to focus on sectors that may benefit from domestic demand growth ... ... Asia, Latin America, and Africa. Monitoring Policy Changes: Future EU decisions on protectionism, boosting domestic demand, and economic fortification could create additional investment opportunities. Conclusion: Europe’s Path Forward and Next Steps for ...

Thursday, December 12, 2024: Analysis of Key Events and Reports

... readings could reinforce expectations of tighter Federal Reserve policy. 16:30 (MSK): USA – Initial Jobless Claims This weekly data point serves as an indicator of the health of the U.S. labor market. An increase in claims could signal a slowdown in economic activity, while a decrease suggests continued resilience. 16:45 (MSK): Eurozone – ECB Press Conference The ECB president will present updated forecasts and elaborate on the monetary policy decision. This commentary could significantly impact European bond markets and the euro. 17:45 (MSK): Eurozone ...

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

... could strengthen, and British government bonds (yields) could rise. However, a softer tone (for instance, mentioning signs of economic slow-down or recession risks) would be interpreted as a hint of an impending pause in rate hikes, which would weaken ... ... this as confirmation of a potential pause or a minimal further step up. Conversely, if the Fed chair emphasized the economy's resilience and readiness to tighten policy further if necessary, the markets could become nervous. Ultimately, Powell maintained ...

How to Diversify Your Investment Portfolio: A Practical Guide

... one of the key principles of risk management in investing. It involves spreading investments across different assets, which reduces the risk of losses and ensures more stable returns. For Russian investors, diversification is particularly relevant: economic fluctuations and changes in the political environment can impact financial markets. In this article, I will explain how to diversify your portfolio to enhance its resilience and minimize risks. 1. Understand Your Goals and Risk Profile Before you start diversifying, define your financial goals and your acceptable level of risk. If your aim is stable income, you may prefer low-risk assets such as bonds and deposits....

Key Economic Events and Corporate Earnings: Week of August 4 - 8, 2025

... information accumulated over the week: market participants will assess whether expectations regarding corporate profits and economic indicators were justified. The concluding data on drilling rigs from Baker Hughes will provide a final note for oil industry ... ... business activity indicators (PMI) from key countries presented a mixed picture: in some areas, growth is slowing, while in others, resilience persists. The Bank of England's decision and signals from other central banks underscored that the fight against inflation ...