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Wednesday, December 11, 2024: Analysis of Key Events and Reports
... both Europe and the U.S.
The U.S. CPI report will likely influence the Federal Reserve’s policy path, with high inflation readings potentially leading to further rate hikes. This could strengthen the U.S. dollar but increase pressure on equity and bond markets. In Europe, rising energy costs from OPEC-driven supply changes could challenge 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 ...
Economic Events and Company Reports - Friday, August 8, 2025: Trump's Ultimatum, Baker Hughes Rigs, Reports from The Trade Desk and Kenvue
... Russian Federation published analytical materials earlier this week indicating a slowdown in inflation in July, signaling a possible pause in raising the key interest rate. This supports interest in bonds: OFZ yields continued to decline, and the state bond index RGBI stabilized near local maxima. Thus, several narratives are intertwining in the Russian market today — corporate results, dividend expectations, and the influence of external politics — and investors will have to navigate between them when making decisions.
What Investors Should Focus on
U.S. Sanctions Decision:
Whether Donald Trump will announce new ...
Monday, December 9, 2024: Analysis of Key Events and Reports
... products. Investors in these markets should consider the potential for reduced pricing pressure.
Interest Rates and Bonds:
Elevated U.S. inflation expectations may signal continued Federal Reserve tightening, which could increase yields on U.S. Treasury bonds and impact borrowing costs globally.
Diversification and a cautious approach are recommended as global market conditions evolve.
Key Corporate Reports
Pre-market:
Hello Group Inc ADR (MOMO):
The company is expected to post its quarterly financial results at 11:30 (MSK). Analysts forecast a potential decline of 12.1%, driven by weaker user engagement metrics and heightened competition ...
Goldman Sachs Forecast 2025: Investment Strategies and Challenges
... Expect in 2025?
1. Equities
Growth is anticipated in the technology, healthcare, and consumer goods sectors.
Emerging markets such as India are expected to yield better returns due to accelerated economic growth.
2. Bonds
A steady demand for high-quality corporate bonds is expected.
Conversely, government bonds may be less attractive due to low yields.
The primary risks include inflation and geopolitical instability.
3. Commodities
Prices for energy resources are forecasted to rise due to supply constraints.
Interest ...
Weekly Economic Events Calendar for Traders in the U.S. and Russia (November 11 – November 15, 2024)
... Events:
U.S. Bond Market Closure: In observance of Veterans Day, the U.S. bond market will be closed, reducing liquidity in bond trading. This can create some volatility in other financial markets, including stocks and commodities.
Fortune Global Forum: ... ... from Yum China ($YUMC), and Kristin Peck from Zoetis ($ZTS) will participate in discussions, potentially sharing insights into corporate strategy and global market conditions.
3rd Anniversary of Rivian Automotive IPO: Shares of Rivian Automotive ($RIVN) ...