Found: 61

Economic Events and Corporate Reports - Tuesday, August 5, 2025 - PMI Index and US Trade Balance

... countries should keep a close eye on the news of the day. A careful analysis of macroeconomic indicators (such as PMI, inflation metrics, and trade balance), combined with an assessment of corporate results, will help timely identify emerging trends. When ... .... By maintaining a diversified approach and relying on fundamental analysis, investors will be able to navigate the changing market conditions with more confidence.

Russia Launches Independent Gold Exchange: An Alternative to LBMA and a Step Towards Dedollarization

... launch a new trading platform for gold that will operate independently from the London Stock Exchange and the London Bullion Market Association (LBMA). This step effectively severs gold pricing from the dominance of Western financial institutions and ... ... a “one lot — one bar” basis in a spot trading environment. Initially, the exchange will offer two types of gold bars: metric bars weighing 1 kg and standard bank bars weighing approximately 12 kg. To facilitate settlements and metal delivery, the ...

Key Economic Events and Corporate Reporting: Week of July 28 to August 1, 2025

... sectors: two oil and gas giants (Exxon and Chevron) will present results against the backdrop of fluctuating oil prices, while consumer brand Colgate-Palmolive will report on demand for everyday necessities. The biotech company Moderna will also share its metrics, providing insights into post-pandemic trends. After Market Close: No significant reports are scheduled (Friday evenings are typically free of major releases). Commentary: The final day of the week will provide investors with ample food for thought. In the morning, oil producers will take center stage: ...

Investments in Premium Alcohol – Features

... points out of a possible 100 by experts. In this case, indices can fluctuate just like the stock indicators of any other product. They can both increase and decrease. However, the wine sector is characterized by relative stability and decent growth metrics. Even during crises, the downturn in the market remains minimal. Risks Despite its apparent attractiveness, the wine market, according to Sergey Tereshkin, does have associated risks, including: The sensitivity to the decline in potential buyers' financial condition. If an individual's income ...

Global Investment Outlook for 2025: Challenges, Trends, and Investment Strategies

... maintain high growth potential. Simultaneously, stocks in defensive sectors, such as consumer staples, offer stability amid high market volatility. Gold and Commodity Assets Gold, traditionally viewed as a safe-haven asset, is once again coming to the forefront ... ... Reports and Indicators Monitor key economic indicators, such as unemployment data, inflation rates, and consumer spending. These metrics can signal upcoming changes in monetary policy. Sectors and Regions Focus on regions with high growth potential, such ...