Week Ahead - March 31st âšī¸
Next week's economic calendar is packed with key global economic indicators, including US trade tariffs, jobs report, PMIs, and international economic surveys that could provide insights into global economic health.
Multiple economic indicators suggest potential market volatility, with broad implications for global market indices and sectors like manufacturing and trade
Week Ahead - March 10th âšī¸
The article discusses upcoming economic data releases from the US, UK, Germany, Canada, China, India, Brazil, Russia, Poland, Turkey, and Australia that will provide insights into inflation, economic growth, and consumer/business sentiment.
The upcoming economic data releases cover a wide range of countries and economic indicators, which could impact various sectors and asset classes in the portfolio. However, the overall impact is likely to be moderate as the portfolio is diversified across different regions and asset types.
Week Ahead - March 3rd âšī¸
The article discusses upcoming economic data and events in the US, Euro Area, Turkey, and other countries, including labor reports, trade tariffs, PMI data, interest rate decisions, inflation, and GDP growth.
The article covers a wide range of economic data and events across multiple regions, which could have varying impacts on the portfolio holdings. The overall impact is assessed as medium, as the information is relevant but not directly related to the specific portfolio composition.
Week Ahead - Feb 24th âšī¸
The upcoming week will see a focus on speeches by Federal Reserve officials, key economic data releases in the US, and inflation figures and GDP growth rates from various countries globally. Investors will also be watching housing sector data such as home prices and sales.
The upcoming economic data and events are likely to be relevant for the overall portfolio, as they can provide insights into the broader economic conditions and market trends. However, the impact is assessed as medium since the information is not directly related to the specific portfolio holdings.
Week Ahead - Feb 17th âšī¸
The upcoming week will see the release of various economic data and policy decisions from major economies, including FOMC minutes, housing data, PMI figures, and interest rate decisions in several countries.
The upcoming economic data and policy decisions from major economies could have a moderate impact on the portfolio, as they provide insights into the overall economic conditions and market sentiment. However, the portfolio's diversification across different asset classes and regions helps mitigate the potential risks.