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S&P 500 and Stop Trade Levels 2025: The Worst Three Days Since 1987
... reaching subsequent thresholds if the news environment worsens.
Causes of the Market Decline
Geopolitical Tensions
Increasing international conflicts and trade barriers are heightening uncertainty in the markets.
Inflationary Pressures
Publication of CPI and PPI data in the U.S. showed accelerating inflation, intensifying expectations for tighter Federal Reserve policies.
Earnings Season
Negative forecasts from major banks and tech companies are exacerbating panic selling.
Implications for Investors
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Новости ТЭК на вторник, 1 апреля 2025 года: рост добычи ОПЕК+, торговые меры ЕС и инфляция в еврозоне
... попасть под новые нормативные инициативы.
Инфляция в еврозоне
Важным индикатором станет публикация данных по потребительской инфляции (CPI) за март. Экономисты ожидают роста индекса на 2,8% в годовом выражении. Ускорение инфляции может повлиять на политику Европейского центрального ...
Новости рынка ТЭК на пятницу, 28 февраля 2025 года
... крупнейших производителей нефти в Латинской Америке, Бразилия оказывает влияние на глобальный рынок энергоресурсов.
Индекс потребительских цен (CPI) в Германии (февраль) – 16:00 мск
Инфляционные показатели крупнейшей экономики Европы будут иметь значение для рынков нефти и газа.
PCE Price ...
Monday, November 11, 2024: Key Economic Events for Investors
... is a non-official retail indicator, the UK’s retail sales monitor gives early insights into consumer spending trends. Positive results may signal consumer resilience despite inflation, supporting the pound and UK indices such as the FTSE 100.
India
CPI Inflation (October) — Published at 12:00 GMT
India’s inflation data impacts investor sentiment on emerging markets. Lower inflation can support Indian equities and the rupee, which can positively influence investment flows. High inflation may ...
Economic Calendar for Investors and Traders (December 9-13, 2024)
The week of 9–13 December 2024 is set to be pivotal for investors and traders, with significant economic data releases and central bank decisions poised to influence global financial markets. Key events include the U.S. Consumer Price Index (CPI) report, which will provide insights into inflation trends and potential Federal Reserve policy adjustments. The European Central Bank (ECB) is anticipated to announce a rate cut, reflecting ongoing economic challenges in the Eurozone. Additionally,...