Found: 393

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

The upcoming week, from November 25 to 29, 2024, is set to be eventful with significant economic developments that could impact financial markets in Europe and the U.S. Traders should closely monitor key macroeconomic indicators, including Germany's Ifo Business Climate Index, China's interest rate decisions, the release of the U.S. Federal ...

Slowdown in GDP growth in Russia: Central Bank of Russia forecast and possible consequences

... These measures could significantly affect the business climate, consumer activity, and investment strategies. In this article, I examine the reasons for the slowdown, analyze its implications for business, and share my opinion on how to adapt to new economic conditions and seize opportunities for sustainable growth. Russia's GDP growth slowdown in Q4 2024: CBR forecast, reasons and prospects The Central Bank of Russia (CBR) recently updated its forecast for the fourth quarter of 2024, stating that ...

The Future of the Dollar and the Prospect of a BRICS Currency: Insights from Putin’s Statements

... are driving nations to consider alternatives. In this article, I, Sergey Tereshkin, CEO of Open Oil Market, delve into the implications of Putin’s statements and explore what these shifts could mean for international finance, BRICS cooperation, and economic resilience. The Future of the Dollar and the Prospect of a BRICS Currency: Insights from Putin’s Statements In recent statements, Russian President Vladimir Putin shared significant insights regarding the future of the U.S. dollar and the ...

Economic Events and Corporate Reports - Friday, July 25, 2025: EU-China Summit, CBR Rate, Durable Goods Orders (USA)

On July 25, 2025, the economic landscape will be significantly shaped by several key events. On this day, the Central Bank of Russia (CBR) will announce its decision on the key interest rate, a move that could profoundly impact the financial markets and lending conditions ...

Dedollarization of Global Finance: Reducing Investments in US Treasury Securities

... transactions. Increased Volatility in Currency Markets: A loss of confidence in the dollar could lead to heightened fluctuations in the exchange rates of national currencies. Erosion of American Influence: The dollar has traditionally been a tool of U.S. economic and geopolitical power. A reduction in its share could weaken this position. What Does This Mean for Investors and Traders? Portfolio Diversification: Investors should consider focusing on alternative assets, including gold, bonds in yuan, and ...