Found: 253

Economic Events and Company Earnings – Thursday, July 31, 2025: U.S. Inflation, Central Bank Rates, Reports from Apple and Amazon

... impacting the energy sector and the currencies of LNG exporters. Geopolitics: UN Security Council Meeting on Ukraine On Thursday, the UN Security Council will hold a meeting in New York dedicated to the conflict in Ukraine. Geopolitical tensions remain a risk factor for markets: escalating hostilities, new sanctions initiatives, or statements from UNSC members can influence commodity prices (oil, grains) and investor sentiment. Particular attention will be paid to discussions about the humanitarian situation and implications of recent events, such as the cessation of the "grain deal." For the market, any signs of escalation or, conversely, diplomatic ...

Price Forecast for Avalanche (AVAX) in May 2025: Analytics, Events, and Risks

... vulnerabilities. Potential technical issues with the Avalanche network itself or successful attacks on protocols and applications (e.g., hacks of decentralized applications within this network) could undermine market participant trust. Macroeconomic factors: Global financial conditions affect the cryptocurrency market. Rising interest rates, economic recession, or capital outflows from risk markets could lead to decreased investor interest in cryptocurrencies, including AVAX. In conclusion, Avalanche (AVAX) has every chance to demonstrate positive dynamics in May 2025, provided that current trends and favorable news flow are maintained. Nevertheless, investors should remain ...

Economic Events and Company Reports — Tuesday, July 29, 2025: Visa, Boeing, Spotify, and Others

... Macroeconomic data will help assess how favorable the ambient environment (inflation, demand) is for this growth. On July 29, investors should focus on the balance of these factors: strong reports combined with positive macro statistics could provide momentum for the markets, while any significant discrepancies from expectations will require caution and reassessment of risks.

Ruble on the Rise: Reasons behind the Strengthening of the Russian Currency

... geopolitical events. However, forecasts are divided. Some analysts suggest that the ruble will continue to strengthen, reaching 93 rubles per dollar. Others warn of a possible depreciation of the Russian currency to 110 rubles by the end of the year. Key risk factors include sanction pressures, the state of the trade balance, the influence of American foreign economic policy, and dynamics in oil prices. What this means for investors: Short-term Prospects: The strengthening of the ruble may temporarily support domestic financial markets, reducing import costs and alleviating inflationary pressure. Risks: The long-term dynamics of the ruble remain uncertain due to sanctions,...

How S&P 500's Dependency on China's Economy Affects Stock Returns and Investment Risks

... particular, "dual circulation," promoting the domestic market) and increase its independence from the dollar. The threat of congressional and administrative measures aimed at key sectors (e.g., new tariffs of 104-145% on trade with China) compels investors to consider the geopolitical factor as one of the primary risk variables. The current situation adversely impacts the investment climate: companies increasingly analyze scenarios of "supply chain diversification" and business redistribution, which in itself alters the landscape of global trade relations ...