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Equities: Will Early Trends in Select Sectors Last?
Information technology, health care, and consumer discretionary stocks that outperformed in the last decade have done well in the first four months of 2020. дальше »
2020-5-6 13:00
The Duration Risk in Equities
Equities have rallied since 2017 and yet the expected growth in dividends has declined since then. Is the fall in long-term interest rates to be blamed? дальше »
2020-5-5 13:00
The Widening Emerging-Developed Market Gap
Investors in high-debt countries expect short-term interest rates to stay low, while those in less indebted nations see rate cuts as temporary. дальше »
2020-5-14 13:00
Conflicting Narratives
At a time of conflicting narratives, a range of markets from equities to energy to gold may persist in volatility until one narrative gains the upper hand. дальше »
2020-4-29 19:00
The Economic Stimulus/Relief-Debt Paradox
Long-term interest rates have remained low despite a surge in the issuance of sovereign debt to mitigate the economic impact of the pandemic. дальше »
2020-4-24 19:20
De paradox tussen stimulering van de economie en schuldverlichting
De langetermijnrente is laag gebleven, ondanks een sterk gestegen uitgifte van staatsschuld ter verzachting van de economische impact van de pandemie. дальше »
2020-5-4 19:20
Q2 2020 Ag Update
See what’s happening in the CME Group Agricultural markets, including the latest in the options market and opportunities from seasonality, cheese market updates, Black Sea grain news and more. дальше »
2020-4-24 20:00
Equities: Comparing Russell 2000 Versus S&P 500®
The Russell 2000 index of small-cap stocks outperforms the large-cap S&P 500® during times of economic turbulence. Which is better for current conditions? дальше »
2020-4-29 18:00
Modern Monetary Theory Makes Back-Door Entry Into Policies
Major economies are resorting to policies that embody modern monetary theory, allowing them to spend money without raising taxes to battle the pandemic. дальше »
2020-4-29 13:00
From Shopping to Dividends to Travel, Changes Likely
The experiences of individuals and companies during the pandemic might lead to fundamental changes in how consumers and businesses operate upon recovery. дальше »
2020-4-10 13:00
Policy Analysis Through the Lens of Phase Transitions
Most policy responses so far address the immediacy of the downturn and the financial distress. Future action may target how to enhance the rebuilding phase. дальше »
2020-4-8 20:19
Phase Transitions and Policy Responses
Economies affected by Covid-19 will go through ‘phase transitions’ where they will work to contain the downturn, assess the financial severity, and begin to rebuild. дальше »
2020-4-7 13:00
Managing Black Sea Sunflower Oil Price Risk
With the Black Sea region producing 80% of sunflower oil exports, learn how Black Sea Sunflower Oil FOB futures from CME Group can help manage price risk. дальше »
2020-4-8 00:11
Five Ways the Pandemic May Change Behaviors
The behavior of consumers and companies could change in a post-pandemic world, from increasing savings to diversifying supply lines. дальше »
2020-4-7 17:55
How Oil Prices Impact Agriculture
Lower oil prices could reduce production costs for farmers. It could, however, weigh on biofuel producers who use corn and vegetable oils as feedstock. дальше »
2020-3-18 14:00
Market Swings and Evolving Storylines
The evolving narrative about markets may be more critical to appreciating volatility than tracking lagging economic data during times of stress. дальше »
2020-3-16 13:00
Four Factors Likely to Slow Growth in Dividends
Market expectations for inflation and real GDP growth to be low are among factors that could limit the rise of dividend payouts in the 2020s. дальше »
2020-3-11 02:00
Metal options liquidity during London market hours
With risk factors like trade wars and the coronavirus in 2020, understand the benefit of option strategies in global metal markets. дальше »
2020-3-5 12:00
Dividend Payouts Look Meager in 2020s
Futures are indicating that growth in dividend payouts is likely to be paltry this decade, rising 5.6% in 2020 and 2.6% in 2021 before petering out. дальше »
2020-3-4 10:00
Options Strategies in Grain: Part 1
Learn how grain options on futures are offering cost-effective directional coverage, particularly as use of electronic options has grown. дальше »
2020-3-5 12:00
Flood Risk Foreshadows Spring Planting
Farmers could harvest a bountiful crop if the current benign weather pattern holds, but 2019's severe flooding is casting a shadow over spring planting. дальше »
2020-3-2 14:00
Harnessing the benefits of automated FX trade lifecycle operations
Read about the benefits and challenges related to automation of FX trade lifecycle operations, and how Traiana is providing solutions. дальше »
2020-3-5 12:00
Could Coronavirus Impact Fed Policy?
The Fed might move swiftly to cut rates decisively and insulate the healthy US jobs market from the coronavirus, which has reignited global growth concerns. дальше »
2020-2-26 19:13
Hedging with WTI Crude Oil Weekly Options
Explore how to use WTI Crude Oil Weekly options to hedge oil risk and express views around market-moving events, with lower premiums and more precision. дальше »
2020-2-26 14:00
Dividend Futures Imply Slow Growth in 2020s
S&P 500 Annual Dividend Index futures are projecting dividend payments to grow at just 1.7% per year through the 2020s before adjusting for inflation. дальше »
2020-2-20 14:00
Will Job Growth, Low Inflation Change Rates?
Will Fed keep rates steady amid a healthy labor market, more jobs available than job seekers and a subdued inflation? дальше »
2020-2-20 14:00
Does Fed Have the Tools to Fix a Slowdown?
Does the Fed have enough tools to rev up the economy if it slows down? Rates are already low while quantitative easing has not been a resounding success. дальше »
2020-2-20 14:00
CME Group’s Wheat Futures Lead Price Discovery of the Global Wheat Market
Read about CME Group’s expanded Wheat futures lineup, including Black Sea and Australian Wheat, and their effectiveness for price discovery and hedging. дальше »
2020-2-20 23:02
Wuhan Virus: Impact on China, Global Growth in Focus
The rapidly spreading virus has brought into focus its potential impact on China and the global economy, unsettling markets dependent on Chinese demand. дальше »
2020-2-20 15:00
Will Low Rates Fuel the Fire in Equities?
The S&P 500 is off to a strong start, with market capitalization reaching 140% of GDP for only the second time since WW II. Can it keep going? дальше »
2020-2-20 15:00
Coronavirus: Market Concerns Mount
Markets are jittery as concerns over growth mount in the wake of the coronavirus spreading from China to other parts of the world, including the US. дальше »
2020-2-20 23:30
Not So Terrible Twos
Will the US economic outlook for 2020 be a repeat of the past 10 years since the Great Recession - growth and core inflation of around 2%? дальше »