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Macro Economic Forecast for 2025: Key Insights from the Macro Outlook 2025 Report
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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 to ... ...
Regional Prospects
United States
Economic growth is slowing, driven by high interest rates and reduced consumer spending.
The dollar remains strong despite global diversification of reserves towards other currencies.
Europe
The Eurozone faces risks due ...
Economic News August 3, 2025 — Fed Rate Cut, Apple and Meta Reports, Gold Price Increase
... to support business activity. At the July 30 meeting, the Fed, as expected, maintained the rate at ~5.5%. However, signs of economic slowdown have intensified conversations about an imminent shift in monetary policy. Yields on long-term U.S. Treasury bonds have declined, and the dollar has weakened. Slowing inflation in the U.S. (core ~3.3% y/y in June) provides the regulator with additional room to maneuver. Expectations for a more dovish Fed are now dominant – investors are convinced that the fight against inflation will ...
Economic Calendar for Investors and Traders (December 9-13, 2024)
... stock indices.
US: Annual Consumer Inflation Expectations (November) (19:00 MSK)
The New York Federal Reserve Bank report will show how the population assesses future inflation rates. This affects expectations for Fed monetary policy and, consequently, bond markets and the US dollar.
Bank of England Representative (Ramsden) Speech
Any statements on monetary policy or UK economic forecasts will be closely scrutinized by markets.
Key Monday Reports (US and Russia)
Pre-market
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Hello Group Inc ADR (MOMO):
financial report at ...
Tuesday, November 19, 2024: Key Economic Events for Investors
... clues about the future policy actions of the ECB and the Bank of Canada. Housing data in the U.S. will also provide valuable insights into economic activity and may influence the dollar.
Investor Recommendations:
Investors trading in the euro, Canadian dollar, or real estate-linked assets should monitor these data points closely. Strong inflation figures may lead central banks to adjust interest rates, impacting bond yields, currencies, and inflation-sensitive sectors.
Central Bank Speeches
Key central bank officials are set to speak today:
ECB’s Frank Elderson – Expected to emphasize the importance of stability in the Eurozone and discuss inflationary pressures....
"I Fear the U.S. Budget Policy": Buffett on Inflation, Debt, and Bitcoin
... sentiment in the medium term. However, risks remain high: Bitcoin’s volatility significantly exceeds that of traditional assets, and sharp declines during corrections are not uncommon. Nevertheless, amid expectations of sustained inflation and a weakening dollar, Bitcoin is increasingly seen as part of a diversified portfolio – a sort of “anti-dollar” asset complementing bond and stock classes.
In conclusion: persistently high inflation, alongside mounting deficits and debt, compels investors to seek alternatives. Buffett warns that dollars printed by the government are highly vulnerable to devaluation. The limited algorithmic ...