What are you looking for:
Macroeconomic Events and Quarterly Reports of Major Companies on July 22, 2025: Reports from Coca-Cola, RTX, Equifax, SAP, UniCredit
... weaknesses emerge in certain sectors (such as weak sales from automakers or builders), it may be wise to temporarily reduce exposure in those areas. The primary task for investors is to assess the influx of news soberly, distinguish one-off effects from long-term trends, and prepare for the opening of new markets.
Conclusion
July 22, 2025, is a vivid example of how macroeconomics and corporate events intertwine and jointly influence the investment landscape. In the morning, markets seized signals from the central banks of Australia and England, by midday from the Fed and the ECB, all the while accompanied by a deluge of quarterly earnings reports from leading companies. This concentration ...
Impact of Trump's Inauguration on the Ruble Exchange Rate: Analysis and Forecasts
... 20, 2025, has sparked extensive discussions among analysts, who predict short-term spikes in the dollar's exchange rate and long-term fluctuations of the ruble throughout the year.
Expectations and Predictions
Economists interviewed by "Gazeta.Ru" ... ... intensify restrictions on Russian raw material exports.
Tax and immigration reforms that could influence the attractiveness of investments in emerging markets.
Increased sanctions pressure, which will reflect on currency flows and investments.
Moderate ...
Investing in an Unstable Market
... one should not expect rapid growth either. Indices are fluctuating within quite a narrow range, rarely exceeding a 5% deviation.
This compels investors who are not ready to commit funds for an extended period to favor simpler strategies. Some prefer long-term investments of up to five years while lacking guarantees of returns.
Others seek tools that can provide stable profits with a guarantee of capital return.
Which Instrument to Choose
Presently, global markets are experiencing a situation similar to what ...
Key Takeaways from Putin's Address at SPIEF 2025 – Essential Signals for Investors
... the potential expansion of Russia's presence in the global arms and technology market, which is important for assessing the long-term prospects of companies in the sector.
International Economy and New Development Model
In the second part of the speech,... ... world development. This model should exclude unilateral barriers and manipulations, ensuring equal opportunities for trade and investment. As an example of the negative consequences of unilateral decisions, Putin cited the situation in energy. He stated ...
CAPE Ratio of the S&P 500 Reaches Second Record: Is the Market Overheated?
... liquidity are contributing to asset growth.
However, some experts warn that such high valuations have historically preceded long-term market yield declines and increased volatility.
Investor Concerns: A Repeat of the Dot-Com Bubble?
The last time CAPE ... ... consider:
Reassessing Portfolio Composition – reducing exposure to overvalued stocks and adding defensive assets.
Diversifying Investments – looking into international markets and alternative asset classes.
Monitoring Federal Reserve Actions – possible ...