Examples of using Macroeconomic data in English and their translations into Slovak
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Macroeconomic data are largely non-experimental.
This is pretty much consistent with other macroeconomic data.
Macroeconomic data from the eurozone was generally encouraging.
There were no new macroeconomic data in the U.S. on Monday.
Macroeconomic data from the US was mixed and did not support the USD.
This was despite a series of better than expected macroeconomic data from the eurozone.
Macroeconomic data from the eurozone was generally encouraging.
A large part of fundamental analysis is factoring in macroeconomic data releases.
No important macroeconomic data has been published from the eurozone this week.
Interestingly, this instrument does not depend on macroeconomic data from the US.
Recent macroeconomic data support the zloty, building a positive picture of the Polish economy.
Detailed information on both reportsmay be found in our markets overview- macroeconomic data section;
No important macroeconomic data were published in the euro area and in the United States on February 11.
The economic fundamentals of the euro area are sound, and incoming macroeconomic data continue to point to moderate but ongoing real GDP growth.
Weak macroeconomic data and expectations of worse demand for fuel aggravated the situation all over the world.
Each day, almost every hour, a lot of macroeconomic data is published- so it's easy to become overwhelmed.
Weak macroeconomic data and expectations of the demand for fuel reduction aggravated the situation all over the world.
Central bank policies such as interest rates,fluctuations in the value of the U.S. dollar, and macroeconomic data are other factors that can affect gold prices.
Here are some examples of macroeconomic data releases and why they can have an impact on financial markets.
At the moment I do not recommend other brokers,because some block the ability of the transaction at the time of publication of important macroeconomic data due to significant changes of course.
Find out what events, macroeconomic data, and other market-moving information are due in the near future.
The global market outlook continues to improve, albeit with some caveats,as sentiment becomes more positive and macroeconomic data, especially out of the US, suggests the world's biggest economy is continuing its recovery.
This information included: macroeconomic data provided by the applicant, but collected on its behalf by Europressedienst, an independent consultancy firm;
A set of templates are to be found in the Annex,covering the key budgetary and macroeconomic data for the forthcoming year as required by Regulation No 473/2013.
Incoming macroeconomic data also confirm the strong fundamentals of the euro area economy and support a favourable medium-term outlook for real GDP growth.
While information on the fourth quarter is still incomplete,the latest macroeconomic data and survey evidence, although mixed, appear to suggest ongoing moderate growth.
Although hard macroeconomic data shows that agriculture only represents a modest share of Mediterranean trade(7% of total exports and 9% of total imports), in reality, the political and social impact of these products is much higher.
At the same time, the economic fundamentals of the euro area are sound, and incoming macroeconomic data continue to point to moderate ongoing real GDP growth when the high volatility of growth rates in the first half of this year is taken properly into account.
Corporate financials are good, macroeconomic data is currently pointing to a continuation of weak economic growth rather than a recession, and valuations are attractive.
Such clues can often be found in macroeconomic data, which is why knowing when importantdata is released is so important to fundamental traders.