Using a Macroeconomic Event Strategy - This strategy can be used for investors who
follow macroeconomic trends closely.
Not exact matches
«In the grand scheme of things, this report merely shows that euro zone inflation pressures returned to «
trend» in May
following an unsustainable jump in April,» Claus Vistesen, chief euro zone economist at Pantheon
Macroeconomics, said in an email.
These risks and uncertainties include competition and other economic conditions including fragmentation of the media landscape and competition from other media alternatives; changes in advertising demand, circulation levels and audience shares; the Company's ability to develop and grow its online businesses; the Company's reliance on revenue from printing and distributing third - party publications; changes in newsprint prices;
macroeconomic trends and conditions; the Company's ability to adapt to technological changes; the Company's ability to realize benefits or synergies from acquisitions or divestitures or to operate its businesses effectively
following acquisitions or divestitures; the Company's success in implementing expense mitigation efforts; the Company's reliance on third - party vendors for various services; adverse results from litigation, governmental investigations or tax - related proceedings or audits; the Company's ability to attract and retain employees; the Company's ability to satisfy pension and other postretirement employee benefit obligations; changes in accounting standards; the effect of labor strikes, lockouts and labor negotiations; regulatory and judicial rulings; the Company's indebtedness and ability to comply with debt covenants applicable to its debt facilities; the Company's ability to satisfy future capital and liquidity requirements; the Company's ability to access the credit and capital markets at the times and in the amounts needed and on acceptable terms; and other events beyond the Company's control that may result in unexpected adverse operating results.
This special edition Research Report provides insights regarding the modern - day American consumer by including the
following: snapshots of the overall
macroeconomic environment, data that spotlights spending
trends, the potential impact of lower gasoline prices and opinions on the near and medium - term outlook with implications for the US dairy marketplace.
Today, Part 1 deals with the
macroeconomic picture (but in a future post, I will also share my thoughts on momentum /
trend -
following etc. as requested by some readers).
Debate the
macroeconomic trends and changes from the new tax law guiding the current state of the capital stack as well as new exposure risks from HVADC and the best alternative asset classes and markets offering signs of growth
following the halt in speculative construction lending.
We love
following finance bloggers to both make sense of
macroeconomic trends and to learn about new tools and strategies.