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Economic News August 2, 2025 — US Labor Market, Trade Truce, Amazon and Samsung Reports
On August 2, 2025, the labor market in the USA unexpectedly showcased significant changes, sparking discussions about future trends in the economy. Investors are keeping a close eye on a trade truce established ... ... as gold, once again approached historical peaks. Investors from the CIS are particularly focused on the situation surrounding interest rates: the Federal Reserve paused its tightening policy, while the Central Bank of Russia is evaluating further steps following ...
Tuesday, 3 December 2024: Analysis of Key Events and Reports
... decisions concerning emerging markets.
18:00 MSK: USA – Job Openings and Labor Turnover Survey (JOLTS) for October. This indicator reflects labor demand and can serve as a gauge of labor market conditions, influencing expectations for Federal Reserve interest rate decisions.
00:30 MSK: USA – API Crude Oil Stock Change. Changes in crude oil inventories impact energy prices, directly affecting oil companies and the broader economy.
Speeches by central bank representatives, including Williams, Kugler, Goolsbee (Federal Reserve), and Cipollone (ECB), may provide ...
Bonds for Investors: How to Earn with Minimal Risks
... company, government, or bank borrows money from an investor and agrees to repay it with interest within a set period. The issuer of the bond (the one who issued it) pays the... ... companies) and why they issue bonds.
What risks are associated with bonds? What is default? Changes in bond prices, risk of issuer non-fulfillment (default).
What is a technical... ... 5 years, and a coupon of 10%. Many investors will likely buy these bonds, as such a rate is more profitable than a deposit. Consequently, the company (issuer) obtains the...
Economic News: Sunday, July 27, 2025 – US and EU Close to a Trade Agreement, Markets Await Signals from the Fed
... growth impulse due to expectations of cheaper credit and stimulated demand. Conversely, bank stocks fell, as declining interest rates narrow their interest margins and may limit the profitability of financial institutions. As a result, the MOEX index finished Friday close to its opening level (around 2,820 points), meaning it changed little during the session, although intra-day volatility increased. The ruble, as mentioned above, weakened slightly following ...
Record US National Debt Exceeds $36 Trillion: Threats and Prospects for Investors
... attractive. These assets help hedge against inflation and financial instability.
Portfolio Diversification: With debt policy instability, it is important to diversify your portfolio to include technology and resource companies that may be resilient to interest rate changes and inflation.
The US national debt of $36 trillion is not only an economic statistic, but also an important signal for investors. As the debt burden rises, investors should closely monitor the actions of the Fed and Congress, which will influence ...