Found: 126

How Investment Strategies Will Change Due to the Trade War Between China and the USA

... more likely. As a result, strategists must develop new investment ideas. For example, the following proposals have been put forward: An American credit institution has suggested a scheme that would ensure profitability for investors if the emerging markets index continues to decline. UBS Global Wealth Management no longer recommends purchasing sovereign bonds of developing economies with stable currencies. Experts recommend investing in telecommunications and similar sectors. It is advisable to abstain from investing in the pharmaceutical industry and the innovation sector for now. However, investors ...

Tether (USDT) Cryptocurrency Price Prediction and Analysis for May 2025

... in secured loans, and minor investments in other assets (e.g., Tether acknowledged holding a small percentage of reserves in gold and Bitcoin as additional diversification, along with investing part of profits). The shift toward a focus on Treasury bonds occurred after 2021 when, under regulatory and market pressure, the company moved away from risky instruments (like commercial paper of dubious quality) in favor of the most reliable options. Nonetheless, the absence of a full audit by one of the largest auditing firms leaves the trust issue open: ...

Economic News August 3, 2025 — Fed Rate Cut, Apple and Meta Reports, Gold Price Increase

... (compared to >12% last winter), allowing the Bank of Russia to continue lowering rates if current trends persist. The regulator notes a decline in inflation expectations and weak consumer demand, allowing for further policy easing. Yields on government bonds have declined, and the MOEX index remains around 2850 points. Lower rates support domestic demand companies, while commodity exports benefit from high energy prices. Despite ongoing sanction risks, market uncertainty has decreased – a more accommodative central bank policy and a stable ruble create conditions for economic revival in the second half of the year. Commodity Markets: Oil Balance and Gold Surge Oil is trading in a narrow range: Brent ...

Monday, November 25, 2024: Analysis of Key Events and Reports

... Markets: U.S. economic indicators, such as the Chicago Fed National Activity Index, can sway investor sentiment. Positive data may bolster U.S. equities, while also impacting European markets through interconnected global trade and investment flows. Bond Markets: Central bank communications, especially from ECB officials, can influence bond yields. Hawkish tones may lead to rising yields, affecting borrowing costs and investment strategies. Key Considerations for Traders Monitor Economic Indicators: Pay ...

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 ...