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Economic Events and Company Earnings – Thursday, July 31, 2025: U.S. Inflation, Central Bank Rates, Reports from Apple and Amazon

... Consensus for earnings is approximately $0.35-0.40 per share (compared to just $0.10 a year ago), reflecting an increase in volumes supplied under long-term contracts and the rising price of uranium amid resurgent interest in nuclear energy. Cameco's revenue ... ... investors will strive to avoid succumbing to short-term noise. The end of July will provide valuable information: based on it, strategies for August can be adjusted while focusing on the most promising sectors and considering macroeconomic risks. By carefully ...

Wednesday, December 11, 2024: Analysis of Key Events and Reports

... for the tech industry’s performance. Key Corporate Reports Pre-market: Macy's Inc (M): Report expected at 14:55 (MSK). Forecasted decline of 2.7% due to weaker retail sales in a high-inflation environment. Investors will focus on the company’s strategies for managing costs and driving holiday traffic. After-market: Adobe Inc (ADBE): Results anticipated at 00:05 (MSK). A projected increase of 9.7% in revenue reflects strong demand for creative and cloud solutions. Analysts will look for updates ...

Tuesday, December 10, 2024: Analysis of Key Events and Reports

... portfolios accordingly. Currency Markets: Australia’s rate decision will influence the AUD, while Germany’s CPI may impact the EUR. U.S. dollar movements could be driven by commodity market responses. Commodities: The WASDE report will shape trading strategies in agricultural futures, and investors should watch for any surprises that could disrupt market trends. Key Corporate Reports Pre-market: Autozone (AZO): Earnings report expected at 14:55 (MSK). Analysts predict a 2.6% increase in revenue, ...

Future of Russian IPOs and SPOs: Prospects and Plans for 2025

... and Index Considerations IPOs and SPOs typically increase trading volumes and improve market depth. In case of inclusion of new securities in the index calculation base, potential outcomes may include: Technical Inflows: purchases from index and ETF strategies. Reduced Volatility: due to the emergence of large long-term holders. Narrowing of Spreads: growth in competition among market makers. Pricing Factors Macroeconomic Conditions: inflation, key interest rate, liquidity availability. Industry ...

X1.2 Solar Flare: Risks from Health to Financial Markets

... downtimes or increased costs (such as additional crew insurance during heightened radiation exposure at altitude). Investors are also closely monitoring electronics and semiconductor manufacturers: in the past, significant interruptions in electronics supplies from solar storms have already caused localized issues. Stock markets generally react to news about solar activity with a rise in the index of uncertainty. A short-term “dip” in stock indexes and increased demand for defensive assets may ...