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Thursday, November 21, 2024 Key Economic Events
... management software highlights the resilience of this segment in developed markets.
November 21, 2024, is packed with significant economic and corporate events that could influence global markets. Investors in Europe and the U.S. are advised to closely monitor central bank decisions, economic data, and corporate earnings to make informed decisions in an evolving market landscape.
Thursday, December 12, 2024: Analysis of Key Events and Reports
... and labor market resilience, factors that are central to Federal Reserve decisions.
The energy sector will remain in focus, with EIA natural gas inventory data impacting pricing dynamics in Europe and the U.S. during peak seasonal demand. Meanwhile, corporate earnings from Broadcom, Costco, and RH will provide valuable signals about the performance of the technology and retail sectors.
At Open Oil Market, we continue to monitor these developments closely to help our clients navigate the complexities of today’s interconnected global markets.
How S&P 500's Dependency on China's Economy Affects Stock Returns and Investment Risks
... Investment strategies should focus on risk reduction: for example, diversification of the portfolio across sectors and regions, monitoring global trends and scenarios—all contribute to lessening dependence on a single country or industry. In an atmosphere ... ... markets exhibit increased volatility; thus, careful analysis, asset balancing, and a nuanced assessment of macroeconomics and corporate fundamentals play key roles. Ultimately, it is through diversification and preparation for various trade relationship ...
Economic Events and Company Reports — Tuesday, July 29, 2025: Visa, Boeing, Spotify, and Others
... overall tone; for instance, above-expected inflation expectations or strong employment data may fuel discussions about further central bank policies, potentially influencing investor sentiment.
In the afternoon, the focus will shift to corporate reports. Corporate earnings on July 29, 2025, span a wide range of sectors—from high-tech and fintech to industry and consumer sectors. Investors need to monitor not only the EPS and revenue figures from each report but also the management's comments during conference calls. Often, the forecasts and assessments of top management regarding future quarters trigger the most significant volatility in stocks....
Economic Events and Company Earnings – Thursday, July 31, 2025: U.S. Inflation, Central Bank Rates, Reports from Apple and Amazon
... from this small company will provide an indicator of the health of the telecom sector on the "last mile" in the US.
Conclusion: Key Points for Investors
Thus, Thursday, July 31, 2025, combines a rich macroeconomic agenda with a plethora of corporate reports. CIS investors should primarily monitor
US inflation
(the PCE index) and data on the
labor market
—as they will influence global risk appetite and the currencies of emerging markets. Equally important are central bank decisions: signals of policy easing in South Africa or unexpected ...