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....

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

... international exchanges may decrease, as many investors pause activities during the holiday. Potential Volatility: Lower liquidity can lead to increased volatility in certain markets, particularly those closely linked to U.S. financial 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 from ...

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

... the dollar. 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 ... ... 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
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Weekly Economic Events Calendar for U.S. and European Traders (November 25–29, 2024)

... about future ECB 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 ... ... 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
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Thursday, November 21, 2024 Key Economic Events

.... U.S. Economic Data: A stronger dollar resulting from robust job and housing market indicators could reduce the competitiveness of European exports. EU Consumer Confidence: Weak sentiment in Europe might dampen demand for U.S. exports and influence trade balances. Energy Markets: U.S. natural gas inventory changes could affect European energy prices and security. Investor Recommendations Commodities: Oil and Gas: Monitor central bank decisions in Turkey and South Africa, as these could impact emerging market currencies and, subsequently, global commodity prices. Currency Markets: U.S. Dollar: Economic data, such as jobless claims and ...

Modified: 11/20/2024
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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) ... ... rate policy soon. Impact on Markets: Currency markets could see increased volatility following the release of inflation and trade balance data from the Eurozone and Canada. These economic indicators will give investors clues about the future policy actions ...

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

... movements, offering insights into how these developments might impact Russian investors, with a particular focus on the ruble, commodity prices, and global sentiment. Stay informed to make the most of this week’s investment opportunities. A detailed ... ... and international security. This year’s summit will focus on the impact of current crises, such as geopolitical tensions and trade conflicts, on the global economy. Leaders may address the stability of energy markets, trade barriers, and prospects for ...

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

... 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 ... ... stability, and the U.S. post-election landscape. Recommendations: Watch for statements on sanctions, energy exports, and global trade. Oil prices and the ruble could react to any hints of sanction relief. Inflation Data from EU, Canada, and UK Why it matters: ...

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

... reconsider their long-term energy strategies, possibly accelerating efforts to establish domestic uranium processing or boosting trade agreements with countries like Canada and Australia that are prominent uranium producers. Further, Europe may find itself ... ... market dynamics. The restriction also underscores the growing trend of resource-based diplomacy, where nations use strategic commodities to achieve political or economic objectives. This trend may extend beyond uranium, prompting further examination of ...

Modified: 11/15/2024
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