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Friday, November 22, 2024 Key Economic Events

... prevailing interest rates. Canada: Producer Price Index (PPI) (13:30 GMT): Changes in industrial prices can impact the Canadian dollar and commodity markets. Corporate Earnings Reports Alibaba Group (BABA): The quarterly earnings report will shed light on trends in the Chinese e-commerce sector, potentially influencing global tech market sentiment. PetroChina (PTR): As a major player in the energy sector, its financial results will provide insights into global oil demand and pricing trends. Deere & Company (DE): Reporting on agricultural machinery sales, these results could ...

Economic News August 2, 2025 — US Labor Market, Trade Truce, Amazon and Samsung Reports

... Reports: Tech Giants, Commodity Leaders and Consumer Demand The quarterly earnings season continues, and the results from the largest public companies worldwide reflect divergent trends across economies. Below are some of the most notable reports and trends from recent days: Alphabet (Google) – the tech giant surpassed analysts' expectations for Q2. The company's revenue grew approximately by 10% year-over-year (to ~$79 billion), aided by a recovery in advertising revenues and sustained growth in Google Cloud. Alphabet's net profit increased even ...

What is SPAC and How is it Used for Going Public?

... However, large SPAC transactions in Russia remain rare. The primary obstacles to the spread of SPACs in Russia include regulatory peculiarities, lower stock market liquidity, and limited experience using this instrument. Nevertheless, the international trend and interest in alternative methods for going public may foster the development of SPAC in the country. Looking ahead, SPAC could become an attractive option for Russian companies, particularly in the tech sector, if market conditions improve and corresponding legislative changes are enacted. SPAC has become a popular method for going public due to its flexibility, expedited process, and potential for attracting experienced sponsors. However, it is ...

Buffett Indicator Hits Records: A Sign of Overheating in the US Stock Market

... During the height of the dot-com bubble in 1999–2000, the indicator rose to approximately 140%, followed by a collapse of tech stocks and a large bear market that brought the ratio back to a more sustainable level. Similarly, prior to the 2008 crisis ... ... bubble; the subsequent financial crash sharply reduced market capitalization relative to GDP. Even in more recent history, the trend holds. By late 2021, the market-to-GDP ratio reached approximately 170% amidst a post-pandemic rally, only for the market ...

Macroeconomic Events and Quarterly Reports of Major Companies on July 22, 2025: Reports from Coca-Cola, RTX, Equifax, SAP, UniCredit

... discipline and prioritization from investors. Despite the abundance of short-term factors, it's crucial to remember long-term trends. If current data point to declining inflation and central banks' caution, this creates a positive background for markets ... ... Simultaneously, corporate results from many companies show robust demand – for example, Coca-Cola may continue to grow sales, while tech giants invest in new directions. This indicates the underlying strength of the economy even amid policy tightening. Investors ...