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Tuesday, November 19, 2024: Key Economic Events for Investors

On November 19, 2024, investors worldwide are focused on major economic events that could impact global markets. Our article covers the second day of the G20 Summit with discussions on European foreign policy post-Trump, crucial inflation data from the Eurozone and Canada, central bank speeches, and earnings reports from leading corporations such as Walmart, Lowe’s, and MTS. How these events might affect U.S. and European markets, and what investors should consider in today’s environment ...

Inflation Slowdown in Russia: What It Means for Investors?

... what does this mean for your investments? In this article, we will consider how the current economic situation affects investment strategies and what prospects are opening up for bonds, ruble deposits and shares of Russian companies. Deceleration of Inflation in Russia: What It Means for Investors? Recent data from Rosstat and the Ministry of Economic Development of Russia indicate a slowdown in inflation in the country. The annual inflation rate from October 28 to November 5, 2024, decreased to 8.39% (according to Rosstat), while the Ministry of Economic ...

Economic News on August 30, 2025 - EU Sanctions, Inflation in the US and Europe, Corporate Earnings

... Against Russia, Corporate Reporting from Major Companies, Stock Market Reactions, and Investor Forecasts The final days of summer 2025 provide investors with an opportunity to reflect on a week full of events and prepare for the fall. The focus is on new inflation data, signals from central banks, and the lingering corporate earnings reports. The external environment is supplemented by geopolitics: the European Union is discussing increased sanctions pressure, while trade disputes between the U.S. and its partners ...

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

... accompanied by a deluge of quarterly earnings reports from leading companies. This concentration of news demands 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 in the medium term. Simultaneously, corporate results from many companies show robust demand – for example, Coca-Cola may continue to grow sales, while tech giants ...

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

... events are expected that will impact the global financial market and corporate strategies. Investors will closely monitor reports from major companies and statistics related to key macroeconomic indicators. Focus will be on the PMI index, unemployment data, inflation rates, and decisions by the Federal Reserve regarding interest rates. The published reports could considerably affect stock prices and forecasts for the U.S. market. Given the situation with oil prices, this week promises to be particularly ...