Found: 406

Wednesday, December 11, 2024: Analysis of Key Events and Reports

... the ECB’s policy framework, while Adobe’s earnings report will shed light on the resilience of corporate IT spending. These developments underline the importance of staying informed and agile in today’s volatile market environment. At Open Oil Market, we continually analyze such events to help our clients make informed decisions and capitalize on emerging opportunities.

The cryptocurrency market is gearing up for big money

... assets currently held in investors' portfolios, cryptocurrencies are more challenging to predict due to their fluctuating nature. With new tools and platforms aimed at institutional investors, it is evident that the industry is gearing up for substantial capital to enter the cryptocurrency market.

Key Economic Events and Corporate Reporting for the Week of August 11-15, 2025 — Inflation, GDP, Corporate Reports

... statistics on US industrial production and retail sales, will help evaluate the trajectory of global growth. The global reporting season continues, but this week the emphasis shifts: the technology sector (Cisco report), industry (Deere), and consumer market (JD.com, Tapestry) will provide essential benchmarks for corporate profits. Investors should monitor how companies’ reports meet elevated expectations—any surprises could lead to capital reallocations between sectors. Additionally, the geopolitical backdrop must be considered: the meeting between Putin and Trump at the end of the week may introduce extra volatility. Any agreements or, conversely, arising disagreements between ...

Updated List of Systemically Important Credit Organizations: What It Means and Its Impact

... systemically important are required to adhere to stricter regulations and requirements imposed by the Central Bank. Such requirements include: Additional Capital Requirements — Banks must maintain a higher level of capital to minimize the risk of capital inadequacy during a crisis. Increased Reserves for Potential Losses — To support liquidity and ensure readiness for economic shocks. Thorough Risk Management — Banks are obligated to closely monitor credit, market, and operational risks, implementing robust internal control mechanisms. These measures aim to better prepare banks for potential crises and maintain their stability even in challenging economic conditions. How Does the SICI Status Affect Bank ...

How S&P 500's Dependency on China's Economy Affects Stock Returns and Investment Risks

... decline in sales in China, loss of markets, and decreased corporate profits. The S&P 500 index already demonstrates sensitivity to such news: in April 2025, the index fell by 18.9% from its peak and approached "bear market" levels, with the market capitalization of S&P companies losing approximately $5.8 trillion within a few days after the announcement of high tariffs. Partial Restrictions. In a milder scenario, the U.S. maintains trade dialogue through existing frameworks, imposes selective restrictions ...