Thanksgiving Day in the USA: history of the holiday, market closure and impact on global investors

... the history and traditions of Thanksgiving, its impact on the closure of major U.S. financial markets, and the ripple effects felt by global investors. Discover how reduced trading activity and increased volatility during this holiday can influence commodities, stocks, and international markets. Plus, learn why Black Friday, the day after Thanksgiving, is a crucial indicator for the U.S. economy and retail sector. Plan your investment strategies wisely during this period of market pause and volatility. Read the full article to uncover valuable insights for navigating Thanksgiving’s market dynamics. Thanksgiving Day in the USA: history of the holiday, market closure ...

Modified: 11/27/2024
Path: Home / Blog
Thanksgiving in the USA: History, Market Closures, and Global Investor Impact

... instruments. Commodity Market Effects: The suspension of trading on U.S. commodity exchanges, such as the CME Group, can impact global commodity prices, including oil and gold. Economic Data Release Delays: Key economic indicators and corporate earnings reports ... ... holiday's impact on market operations and plan accordingly. Understanding the nuances of this period can aid in making informed investment decisions during the holiday season.

Modified: 11/26/2024
Path: Home / Blog
Wednesday, November 27, 2024: Analysis of Key Events and Reports

... For European investors, a strong U.S. housing market may signal robust economic health, influencing transatlantic trade and investment flows. 18:00 GMT: USA – Comprehensive Economic Data Release Consumer Confidence Index for November: Reflects consumer ... ... October: Indicates the state of the construction sector. An increase in sales may signal economic recovery, affecting demand for commodities. Richmond Fed Manufacturing Index for November: Shows the state of the manufacturing sector. High values may indicate ...

Modified: 11/26/2024
Path: Home / Blog
Tuesday, November 26, 2024: Analysis of Key Events and Reports

... explore the latest earnings reports from major U.S. retailers and tech companies. Learn how these developments may impact your investment strategies. Tuesday, November 26, 2024: Analysis of Key Events and Reports On Tuesday, November 26, 2024, several ... ... decision on the 1-year MLF rate is a crucial indicator of its monetary policy stance. A rate cut could stimulate demand for commodities, potentially benefiting exporters. Conversely, a rate hike might signal tightening, affecting global commodity prices....

Modified: 11/25/2024
Path: Home / Blog
Weekly Economic Events Calendar for U.S. and European Traders (November 25–29, 2024)

... monetary policy. Impact on U.S. and Europe: The release of the Ifo index may influence the euro, affecting trade balances and investment flows between the U.S. and Europe. U.S. data can sway investor sentiment globally, impacting European markets as well.... ... GMT: China – 1-year Medium-Term Lending Facility (MLF) Rate Decision. Changes in China's monetary policy can affect global commodity markets. 15:00 GMT: U.S. – S&P/Case-Shiller Home Price Index for September. This measures the change in the value ...

Modified: 11/25/2024
Path: Home / Blog
Friday, November 22, 2024 Key Economic Events

... strengthen the dollar and elevate equity markets, while weaker data might suggest economic cooling. Recommendations for Investors Commodities: Monitor PetroChina’s earnings for insights into oil and gas demand trends, which could affect global energy prices.... ... reports from Alibaba, PetroChina, and Deere. Staying informed about these pivotal events is essential for making well-informed investment decisions.

Modified: 11/21/2024
Path: Home / Blog
Thursday, November 21, 2024 Key Economic Events

... the U.S. labor market. A decline in claims could strengthen the U.S. dollar, potentially affecting export competitiveness and commodity prices in Europe. Philadelphia Fed Manufacturing Index (November, U.S., 4:30 PM MSK): This index indicates activity ... ... indicator of the housing market's health in the U.S. A strong housing market could further strengthen the dollar, influencing global investment flows. Consumer Confidence Index (EU, November, 6:00 PM MSK): This index highlights consumer sentiment and confidence ...

Modified: 11/20/2024
Path: Home / Blog
Global Coffee Exports: Trends and Price Impact in the 2023/24 Season

... Costs: Transportation costs and logistical disruptions have remained major issues impacting coffee prices. Increased container and fuel costs have added to the overall price. Speculative Interest in Coffee Futures: Coffee has gained popularity as a commodity investment on global markets, stimulating price increases due to interest from investors and large funds in coffee futures. Impact on Consumers and the Market For consumers, rising coffee prices have meant a higher cost for the final product. International ...

Modified: 11/19/2024
Path: Home / Blog
Tuesday, November 19, 2024: Key Economic Events for Investors

... part of their strategic planning. An increase in Australian interest rates could strengthen the Australian dollar and impact commodity demand, making this a factor for investors in raw materials markets. Economic Data Eurozone Current Account (September) ... ... could drag on related stocks. Investor Recommendations: Earnings data from these companies will be crucial for sector-based investment strategies. Investors should analyze reports closely, as results from the consumer, technology, and energy sectors ...

Modified: 11/18/2024
Path: Home / Blog
Monday, November 18, 2024: Key Economic Events of the Day

... economy and stock market. Global Sentiment: Positive momentum in Asian markets could boost interest in emerging markets, including Russia. Recommendations: Monitor Currency Movements: Tracking the ruble-to-dollar rate is essential for assessing potential investment impacts. Watch Commodity Trends: Developments in oil and metals markets have a significant impact on the Russian economy. Consider Global Market Indicators: Incorporate international trends into investment decisions, as global sentiment often influences local markets....

Modified: 11/18/2024
Path: Home / Blog
Weekly Economic Events Calendar for U.S. and Russian Traders (November 18 – 22, 2024)

... (November 18 – 22, 2024) This week is packed with impactful economic and political events that could significantly affect both global and local markets. Russian traders should focus on key publications and statements to make the most of currency, commodity, and stock market changes. Here’s what to consider: G20 Summit — Geopolitical Importance Why it matters: Discussions at the G20 Summit often drive international economic strategies, with topics on Ukraine, European stability, and the U.S....

Modified: 11/18/2024
Path: Home / Blog
Russia Temporarily Bans Enriched Uranium Exports to the US: What Are the Implications?

... commodities to achieve political or economic objectives. This trend may extend beyond uranium, prompting further examination of other resources vital to the global economy. Investor Takeaways: How to Navigate the Changing Landscape Investors in the energy and commodities sectors should pay close attention to these developments. The uranium market, previously seen as stable, now faces potential volatility due to these export restrictions. Key strategies may include diversifying investments into alternative energy sources, monitoring companies involved in uranium enrichment outside of Russia, and keeping an eye on government policies that may further impact the nuclear sector. For energy companies, this period of uncertainty ...

Modified: 11/15/2024
Path: Home / Blog
U.S. Debt Reaches a Record $36 Trillion: Implications for the Economy and Investors

... Investment Strategies The expanding U.S. debt may reshape global capital flows, underscoring the need for investors to adapt their strategies. Investors may benefit from diversifying their portfolios and incorporating defensive assets such as gold and commodities, which can hedge against currency and inflation risks. Investment Considerations for a High-Debt Environment Growing U.S. debt presents both risks and opportunities across investment types. Key areas of interest for investors include: U.S. Treasury Bonds: In a high-debt environment, Treasury yields may rise,...

Modified: 11/15/2024
Path: Home / Blog

Sort by relevance | Sorted by date