Mexem Logo
Apri un contoclose
Mexem Logo
Apri un contoclose
Recurring investing is a simple strategy where you invest a fixed amount regularly. This approach, known as dollar-cost averaging, reduces the impact of market volatility by buying more shares when prices are low and fewer when they're high. By automating investments, you can maintain consistency, reduce risk, and save time while working towards your financial goals.
In May 2025, current President Donald Trump's new tariff announcements, particularly a 100% tax on foreign-produced films, sparked market volatility. Steep duties on Chinese imports, these measures are pressuring key sectors like entertainment and technology. As major U.S. indices decline and bond yields rise, investors watch the Federal Reserve for guidance amid slowing growth and persistent inflation. Trade tensions, cautious consumer behavior, and expectations for potential rate cuts now shape the broader economic environment.
Inflation continues to affect global markets unevenly in May 2025. In the U.S., prices remained flat in March, but strong consumer spending and a slight economic slowdown suggest ongoing pressure. The Eurozone faces persistent core inflation, especially in services, while Japan has lowered its inflation outlook due to weak demand. Different sectors feel the impact in various ways, with financials and industrials performing well and consumer-focused areas under strain. Central banks are holding interest rates steady as they monitor inflation's direction.
This week, five sector-leading companies: T-Mobile, IBM, Merck, PepsiCo and Comcast are scheduled to release their Q1 2025 earnings. Projections include strong EPS growth for TMUS, strategic AI expansion at IBM, and pipeline resilience at Merck, despite some pressures on revenue. PepsiCo and Comcast are contending with softening demand and rising operational challenges. Collectively, these reports will provide timely insights into the current economic climate, investor sentiment, and company-specific execution as markets look ahead to the second half of the year.
This weekâs key earnings reports span five major sectors: Goldman Sachs (finance), Johnson & Johnson (healthcare), Netflix (streaming/tech), United Airlines (Air Transportation, travel), and ASML (semiconductors/AI). Each offers timely insights into sector-specific performance, with Goldman Sachs and ASML expected to post strong revenue growth. Investors should monitor forward guidance and strategic pivots as companies navigate economic headwinds and technological transformation.
This monthâs five-stock review highlights a rapidly changing market. Tariffs, IPO booms, and strategic reinventions are redefining winners and losers. From energy innovation to media disruption and payments dominance, April 2025 is shaping up to be a pivotal chapter for bold investors with a long view.
This weekâs market activity is driven by a mix of earnings catalysts and sector-specific volatility. Delta Air Lines and Tesco face investor scrutiny amid pricing pressures and weakened demand. In banking, JPMorgan and Wells Fargo offer key insights into credit trends and economic resilience. Meanwhile, Intelâs rapid stock decline highlights tech-sector instability and investor concern over leadership and competitiveness. As data rolls in, attention will turn to guidance and strategy over raw numbers alone.
Nel mondo del trading moderno, avere strumenti avanzati e integrati è essenziale per massimizzare le opportunità di investimento. L'integrazione tra TradingView e MEXEM offre ai trader una soluzione potente che combina analisi tecnica di alto livello e un'esecuzione degli ordini affidabile. In questo articolo, scopriremo come collegare queste due piattaforme per ottenere un'esperienza di trading fluida, efficiente e dinamica.
In Q1 2025, Palantir, AbbVie, GE, ExxonMobil, and Costco demonstrated sector-specific strengths despite varying macroeconomic pressures. Palantir's AI-driven growth continued, with a 29% rise in revenue, although the stock faced volatility. AbbVie maintained strong momentum with immunology-driven earnings and a 52-year dividend streak. GE benefited from institutional inflows and dividend expansion.ExxonMobil was helped by higher oil demand and gave more money back to shareholders. Costco posted impressive sales and digital growth while leveraging rising membership revenue. Collectively, these companies represent resilience and investor confidence, underpinned by stable fundamentals, expanding cash flows, and solid capital allocation strategies across diverse sectors.
Understanding tax implications is crucial for maximizing recurring investments. This article explains the primary taxes involved, tax-efficient account options, and strategies like long-term holding, tax-efficient funds, and tax-loss harvesting to reduce tax liability. It also covers dollar-cost averagingâs specific tax considerations, helping investors make informed, tax-smart decisions.
Shell accelerates gas development and gains legal breathing room; BYD leads EV innovation with ultra-fast charging and rising global sales. Dollar Tree prepares for earnings amid store closures and executive changes. Prologis boosts dividends and transitions leadership while expanding logistics capacity. UnitedHealth faces regulatory probes and cyber recovery challenges but remains a dominant force in healthcare.
The week ahead is crucial for Micron, FedEx, NVIDIA, Charles Schwab, and Alphabet as they navigate earnings reports, industry events, and market shifts. Micronâs report will reveal AI-driven semiconductor trends, while FedExâs spinoff plan highlights its restructuring efforts. NVIDIAâs GTC conference could drive AI sector sentiment. Charles Schwabâs institutional backing strengthens its outlook despite TD Bankâs exit. Alphabet faces regulatory risks but retains strong investor confidence. These stocks will be key market indicators in the coming week.
Stabilire gli obiettivi finanziari per gli investimenti ricorrenti fornisce concentrazione, orientamento e motivazione. Questo articolo aiuta gli investitori a definire gli obiettivi in base agli orizzonti temporali, a calcolare i target e a monitorare i progressi con le pietre miliari. Si parla anche di come adattare gli obiettivi alla tolleranza al rischio e alle mutate circostanze della vita, creando un piano strutturato che si allinei con le aspirazioni a lungo termine.
In un contesto economico globale sempre piĂš incerto, la volatilitĂ dei mercati è diventata una costante. Questo articolo esplora le radici storiche delle crisi finanziarie, le cause attuali dellâinstabilitĂ â dalle tensioni geopolitiche allâinflazione globale â e le strategie per affrontare con luciditĂ i mercati turbolenti. Unâanalisi approfondita per chi desidera comprendere i meccanismi della volatilitĂ senza farsi sopraffare dalle emozioni.
BioNTech, Asana, Volkswagen, Ulta Beauty, and Li Auto are poised to significantly influence market trends this week through critical earnings and strategic developments. Investors should closely evaluate BioNTechâs oncology progress, Asanaâs growth metrics, Volkswagenâs EV transition, Ultaâs retail strategy, and Li Autoâs EV delivery expansion for informed decision-making.
This week, CrowdStrike faces legal scrutiny but remains strong ahead of March 4 earnings. ASML beat Q4 expectations with a âŹ7B order backlog, though geopolitical risks loom. Bayer expects âŹ2.2B profit in 2025, but legal and market challenges persist. Marvell is down 20.56% in four weeks, yet analysts remain bullish on its AI-driven growth ahead of March 5 earnings. JD.com expands into food delivery, raising profitability concerns before its March 7 report.
Inizia a fare trading con il pacchetto completo: dalla piattaforma all'avanguardia agli strumenti gratuiti, con commissioni di transazione vantaggiose.