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The pace of global economic growth remained among the weakest seen so far during the pandemic recovery period in May, according to the latest PMI data compiled for JPMorgan by S&P Global. Future expectations remain especially weak by historical standards in India and the eurozone ...
Emerging market banks will likely be among some of the most interesting contrarian buys within emerging markets, as investors will likely shift to safer consumer themed stocks. Economic and political sentiment will continue to be poor among emerging markets, so stocks have certainly n...
Carrefour has seen a slight dip in global sales growth which has coincided with rising inflation. Sales growth across the French market was negative in the most recent quarter, owing to rising competition and the effects of inflation. A potential slowing of sales growth across Lat...
The European Union’s plans for a phased ban on Russian oil imports leaves a sizeable hole in global supply. So, what should investors pay attention to in trying to leverage oil gains? Even if you set aside the Russia factor, there are many considerations for investors aimin...
Emerging markets central banks were ahead of developed markets in hiking rates, and we believe EM local currency bonds may offer yield and diversification potential as U.S. rates rise. Higher energy prices and commodity-led inflationary pressures have benefitted the currencies of seve...
As we entered 2022, many emerging markets were already hurting due to higher commodity prices and rising interest rates; then a war in eastern Europe sent shock waves through the markets. The conflict in Ukraine likely bodes poorly for Eastern Europe more broadly, expanding beyond Rus...
The Russian invasion of Ukraine and the subsequent imposition of sanctions by a range of governments have served to reset the global geopolitical compass, with an immediate impact on oil and gas markets and investments. Elevated prices and new sources of demand will create opportuniti...
Our macroeconomic forecasting team assesses how the war and latest survey data have altered the economic outlook, policymaking and recession risks. Global growth was dragged lower, principally by steep contractions in Russia and mainland China. Barring the initial COVID-19 outbreak, M...
The pace of global economic growth slowed in April to the lowest since the downturn of the second quarter of 2020. While an easing of COVID-19 containment measures on average globally helped to sustain service sector growth in April, the rate of expansion in the service sector fell to...
Azul sees an extremely bullish future ahead on transformed cost structure and revenue streams. Azul missed earnings expectations due to the Omicron variant in Q1 2022. Recession fear poses the biggest risk to airlines at this point. For further details see: Azul: Bullish...
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2024-07-11 08:24:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...
2024-04-15 10:47:02 ET BTC iShares iBoxx USD High Yield Corporate Bond ETF (HYG) HYG is trading DOWN for the last 4 days, and it at trading at $76.17 with volume of 10,436,679 and a one day change of $-0.20 (-0.26%). BTC iShares iBoxx USD High Yield Corporate Bond ETF has a 52-week ...
2024-04-01 11:26:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...