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Tuesday, November 19, 2024: Key Economic Events for Investors

... commodities should consider Australian economic indicators as part of their strategic planning. An increase in Australian interest rates could strengthen the Australian dollar and impact commodity demand, making this a factor for investors in raw materials markets. Economic Data Eurozone Current Account (September) – Scheduled for release at 12:00 GMT, this data will give insight into Europe’s export-import balance and economic resilience. Eurozone CPI (October) – At 13:00 GMT, inflation data for the Eurozone will be released. This could impact the euro and provide signals on future European Central Bank (ECB) policy. U.S. Housing Starts (October) – At 16:30 GMT, the U.S....

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

... China may trigger fluctuations in stock markets. Export-focused companies face greater risks due to uncertainty over tariffs and market access. Sector-Specific Risks: Export-heavy sectors such as automotive, technology, and consumer goods will be the most ... ... 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 ...

A Reliable Haven for Investors

... most stable, resilient, and liquid investments. In times of crisis, blue-chip stocks are considered among the most stable, resilient, and liquid assets for preserving savings. What makes blue-chip stocks attractive to investors? These companies are ... ... precise definition remains a topic of discussion. It is often believed that to attain blue-chip status, a company must achieve a market capitalization of at least $5 billion. Investors utilize blue-chip stocks to mitigate their portfolio risks. They are frequently ...

Economic Events and Corporate Reports - Tuesday, August 5, 2025 - PMI Index and US Trade Balance

... breather. The external backdrop remains crucial: an improvement in risk appetite in global markets could strengthen the ruble and other emerging market currencies, while new sanctions threats or a flight to safety could negatively impact it. Russian Stock Market: Outlook The Moscow Exchange Index is holding near local highs, demonstrating resilience due to high commodity prices and strong earnings reports from several companies. External signals (oil price dynamics, global market sentiments) and internal factors (financial results from Russian issuers for the first half of the year) will ...

The stocks of Russian oil and gas proved to be more resilient

... Finnish company Neste leading the pack. At the same time, S&P's ratings have revised the investment outlooks for major global oil and gas companies like Total, Exxon, and Shell downwards, while Rosneft has maintained a stable outlook. Rosneft holds a more resilient position due to its substantial oil reserves, low extraction costs, and stable cash flows. S&P experts believe that Russian oil and gas companies can be regarded as some of the most risk-resistant in the sector. In the global market, traditional oil and gas companies are increasingly being challenged by representatives of alternative energy. In light of the climate agenda, investor pressure is mounting, demanding clear action plans from companies in the context of a global ...