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Economic Events and Company Reports - July 30, 2025
... confirmed) will result from stringent cost control, rising gross margin on vehicle sales, and reduced interest expenses following debt restructuring. Investors will pay particular attention to two factors: sales growth (how many cars Carvana sold in the quarter ... ... memory and logic chip manufacturers in the second half of the year (for example, due to global construction of new factories and government support programs for the industry), the stock may gain upward momentum along with the entire sector. Conversely, any ...
Growth of Money Supply in Russia by 19.2%: What It Means for Investors
... shortages in the banking sector.
Reducing debt burden. With the growth of money supply, interest rates may decrease, facilitating debt servicing.
Negative Risks:
Acceleration of inflation. Excessive growth in money supply can lead to rising prices for goods ... ... growth in money supply may exert pressure on the national currency.
Bond yields. An increase in liquidity may lower yields on government and corporate bonds, which is important for fixed-income investors.
Conclusion
The 19.2% growth in money supply in ...
The Circle: What Do the Russian Government's Plans to Allow Gasoline Exports Mean?
... January-October 2024 was 220 billion rubles, and by the end of the year, it is expected to grow to 3.3 trillion rubles. With high debt market rates, almost all of this gap will need to be financed from the liquid portion of the National Wealth Fund (NWF), ... ... saving over a trillion rubles annually for the budget. One way or another, once the current regulation model is exhausted, the government will have to find new solutions that do not rely on subsidies and export bans. Otherwise, the fuel market will remain ...
Macro Economic Forecast for 2025: Key Insights from the Macro Outlook 2025 Report
... 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 ... ...
Bond Market
Long-term bonds remain under pressure due to expected rate increases.
Investors seek safe-haven assets such as U.S. government bonds and gold to mitigate risks.
Commodity Markets
Energy: Oil and gas prices remain volatile due to the global transition ...
Economic Events and Company Earnings – Thursday, July 31, 2025: U.S. Inflation, Central Bank Rates, Reports from Apple and Amazon
... await comments on the demand for new drugs and possible progress in clinical trials. An important signal will be the dynamics of debt load and plans for returning capital to shareholders—as BMS is known for generous dividends. If management can convince ... ... volatile BTC prices. RIOT shares are sensitive to Bitcoin prices, so any news (e.g., updates on mining regulations in Texas or government support) may also affect the report's perception.
Cloudflare (IT Infrastructure):
The provider of cloud networking ...