P: R: CHF3. Company Authors Contact. Long Short. Oil - US Crude. Wall Street. More View more. Economic Calendar Use our economic calendar to explore key global events on the horizon that could subtly shift or substantially shake up the financial markets. Timezone High High. Medium Medium. Low Low. Euro Area. Non-Eurozone Europe.
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Wall Street. More View more. Economic Calendar Use our economic calendar to explore key global events on the horizon that could subtly shift or substantially shake up the financial markets. Timezone High High. Medium Medium. Low Low. Euro Area. Non-Eurozone Europe. Asia and Pacific. Middle East and Africa. United States. European Union. Czech Republic. United Kingdom. New Zealand. The PPI shows the same general pattern of inflation as does Consumer price index, but is more volatile. This is because it is weighted more heavily towards goods that are traded in highly competitive markets and somewhat less sensitive to changes in the cost of labour.
In principle, the PPI should include service industries, but in practice it is limited to the domestic agricultural and industrial sector. The prices should be farm-gate prices for the agricultural sector and ex-factory prices for the industrial sector. Foreign indebtedness does not include the positions of investments into equity securities, i. The positions of the individual debt liabilities correspond, just as in the case of the investment position, to the respective transactions with debt financial liabilities in the balance of payments financial account.
The positions of assets and liabilities of the investment position reported as at a certain date are influenced by the transactions implemented in the previous periods and recorded in the balance of payments and other influences ensuing above all from the exchange rate and price fluctuations. The calculation of the data on the investment position and gross indebtedness is carried out by accumulation of the positions of the respective financial assets and liabilities.
The difference between the level of assets and liabilities represents the balance of the investment position. For the valuation of the individual assets and liabilities market prices prevailing as at the last day of the reporting period are used or, as the case may be, accounting or nominal prices, if market prices are not available.
For the expression of the investment position and gross indebtedness in EUR and USD foreign exchange market rates declared by the CNB as at the respective day are used. The Consumer Price Index CPI measures the change in the price of goods and services from the perspective of the consumer. It is a key way to measure changes in purchasing trends and inflation.
Because foreigners must buy the domestic currency to pay for the exports the data can have a sizable affect on the Euro. Producer Price Index PPI measures a change in the prices of goods and services, over a span of time, either as they leave their place of production or as they enter the production process.
PPI measures a change in the prices received by domestic producers for their outputs or the change in the prices paid by domestic producers for their intermediate inputs. It is a leading indicator of business conditions. A level above zero indicates order volume is expected to increase; a level below zero indicates expectations are for lower volumes. The reading is compiled from a survey of about manufacturers. GDP measures summary value of goods and services generated in a relevant country or region.
A region's gross domestic product, or GDP, is one of the ways for measuring the size of its economy. Expenditure approach - Total expenditures on all finished goods and services produced within the economy. Calculation: GDP using the expenditure approach is derived as the sum of all final expenditures, changes in inventories and exports of goods and services less imports of goods and services.
Market influence of GDP Unexpectedly high quarterly GDP growth is perceived to be potentially inflationary if the economy is close to full capacity; this, in turn, causes bond prices to drop and yields and interest rates to rise. Where the stock market is concerned on one side higher than expected growth leads to higher profits and that's good for the stock market. The consumption expenditure of households consists of outlays which households make on new, durable and non-durable goods and services less net sales of second-hand goods and scraps.
Purchases by households of consumer durable, such as furniture, radios and automobiles are all included in private consumption expenditure. Primary commodities produced for own-account consumption should always be included in gross output and in household consumption expenditure.
Purchases of dwellings are not included, they are treated as fixed capital formation. The imputed rent of owner-occupied dwellings which is part of the gross output of the real estate industry, is included in final consumption expenditure of households. Direct purchases abroad by resident households and in the domestic market by non-resident households cover expenditures by diplomats, military personnel,tourists and seasonal workers who remain in foreign countries for periods less than one year.
Her speeches often contain indications on the future possible direction of monetary policy. Her public engagements are often used to drop subtle clues regarding future monetary policy. A monthly report by the Chicago Federal Reserve Bank that tracks economic activity in the 7th district, which is comprised of Indiana, Iowa, Illinois, Michigan and Wisconsin. The index is useful in tracking economic growth and identifying potential inflation.
Core Retail Sales measures the change in the total value of sales at the retail level in Canada, excluding automobiles. It is an important indicator of consumer spending and is also considered a pace indicator for the Canadian economy. It is a leading indicator of health in the housing sector. Retail Sales measure the change in the total value of inflation-adjusted sales at the retail level. It is the foremost indicator of consumer spending, which accounts for the majority of overall economic activity.
Existing Home Sales measures the change in the number of existing not new residential buildings that were sold during the previous month. This report helps to gauge the strength of the U. A higher than expected number should be taken as positive to the USD, while a lower than expected number as negative. Existing Home Sales measures the change in the annualized number of existing residential buildings that were sold during the previous month. Measures the weighted-average price of 9 dairy products sold at auction every 2 weeks.
It is viewed as a leading indicator of New Zealand's trade balance because rising commodity prices boost export income. Treasury Bills have maturities of a few days to one year. The rate on a Treasury Bill represents the return an investor will receive by holding the bill for its entire duration. Non-financial public sector National administration, state-owned companies and former provincial pension funds.
View our fast-updating and interactive economic calendar for important events and releases that affect the forex, stocks and commodities markets. The real-time Economic Calendar covers economic events and indicators from some of the best educational articles, reports and videos about news trading. They are DailyFX, Econoday, phisl.xyz, and Trading Economics. In the case of Forex Factory, you can set the first day of the week according to your choice and.