Found: 97

Economic Events and Company Reports - July 30, 2025

... events confirm this trend, the mood will remain buoyant. Investment strategies among participants currently balance between the fear of missing out and concerns about surprises, therefore trading may occur nervously—with sharp movements in individual stocks on news, but without panic in the market as a whole. Conclusion: Key Risks and Opportunities for Investors In conclusion, July 30, 2025, combines significant opportunities and risks for investors. Notable opportunities include the chance to confirm stable economic growth and corporate profits: strong macro data and successful quarterly earnings reports from leading companies will ...

Record Cash: $347.7 Billion at Berkshire Hathaway

... corporations that repurchase their shares at any price: the fundamentally-minded Buffett refrains from using shareholders' capital to invest in overvalued assets. The Market is Overvalued: Buffett Awaits a Correction In his annual letter and at the 2025 shareholders' meeting, Warren Buffett indicated that the American stock market is currently overvalued, and there are almost no interesting opportunities for substantial investments in the short term. According to Buffett, the company is diligently seeking suitable targets, although it “cannot find attractive businesses ...

Historic Decline in Interest: Why Institutions Are Turning Away from "Great Seven" Stocks

... (TSLA): Sales Growth at the Cost of Margin and Trust Technical Analysis of Tesla (TSLA) : Tesla’s shares are traditionally the most volatile among the "seven." After rising in summer-autumn 2024 to approximately $270 (local resistance), the stock plummeted to around $150 by early 2025 – over 40% loss in value in a few months. The RSI remained deeply below 30 for an extended period, indicating extreme oversold conditions as the market priced in negative expectations for electric vehicle demand. By April-May 2025, the RSI rose only to ~50, signaling a slow recovery of investor confidence. The MACD has been below zero since late 2024, indicating a bearish phase; only by April ...

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

On July 22, 2025, a significant date in the economic world, several key events are expected that may impact the stock market. Reports from companies such as RTX, Northrop Grumman, Equifax, and Coca-Cola will be in the spotlight as they present their quarterly results. Additionally, investors are awaiting comments from high-profile economists, including Jerome Powell ...

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

... and Government Intervention Market dynamics are influenced not only by economic indicators but also by political factors. In 2025, investors' attention is focused on the actions of the Donald Trump administration. In an effort to sustain the market rally, Trump initiates policies to stimulate the economy – specifically, pushing for new tax breaks for businesses. Recently,... ... passed through the Senate by a narrow majority, signaling the government’s readiness to support the corporate sector and the stock market. The president himself asserts that he will not allow the stock market to crash. This rhetoric creates a sense among ...