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Russian Stock Market Set to Soar to Record Heights This Year

The recovery of the global economy, rising oil prices, and the accommodative monetary policies of most central banks are all working in favor of the Russian market. The Russian stock market is expected to reach record heights this year, driven by a recovery in commodity prices and persistently low interest rates globally, according to ...

Key Economic Events and Corporate Reporting for the Week of August 11-15, 2025 — Inflation, GDP, Corporate Reports

From August 11 to 15, 2025, key economic events will take place in global financial markets, directly affecting corporate reporting and the state of the economy. During this week, data on inflation, GDP, and retail sales is expected to be published both in the USA and other countries. Important corporate reports will be released, which may determine the direction of investments. Investors should closely monitor CPI and PPI metrics to assess the prospects for economic recovery. In this material, we...

Economic News — Friday, August 29, 2025: Inflation in the US and Germany, GDP of Canada, and Corporate Earnings

..., Germany, and Canada are at the forefront of financial news. Inflation in these countries continues to significantly impact commodity and financial markets. In particular, the expectations for US PCE inflation are raising questions about the future policies of the Federal Reserve. In Germany, the CPI index has also seen considerable changes in August. Meanwhile, Canada’s GDP for the second quarter shows growth, which piques investor interest. Additionally, the earnings reports of public companies ...

China: Industrial Production Growth Slowed to 5.7% YoY in July

... Materials: industrial slowdown limits demand for metals and energy resources. Asian Suppliers: impact on the export of neighboring economies through value-added chains. Regional Currencies: increased sensitivity to news about stimuli and yuan exchange rate policies. Risks and Triggers Real Estate: prolonged correction in sales and prices may dampen investment activity. External Environment: weakening global demand and trade restrictions. Policy: scale and targeting of stimuli; regulatory initiatives in ...

Monday, December 9, 2024: Analysis of Key Events and Reports

... China’s lower CPI signals subdued domestic demand, potentially impacting global commodity flows. For Europe, these developments emphasize the need for resilience amid shifting global demand. The ECB may face increased pressure to maintain accommodative policies to support growth. In the U.S., inflation expectations will remain a central theme, influencing Federal Reserve decisions and broader market sentiment. Corporate earnings from major players like Oracle and C3.ai will set the tone for global equity ...