Explore the essential macroeconomic indicators such as GDP growth, inflation rates, unemployment rates, and consumer confidence. Learn how these indicators reflect economic health and influence investment decisions.
Explore the impact of macroeconomic factors on portfolio management, including inflation, interest rates, GDP growth, and currency exchange rates. Learn strategies for asset allocation, sector selection, and risk management to enhance portfolio resilience.
Explore the pivotal role of commodities in the global economy, their influence on inflation, economic growth, and international trade, and the implications for commodity-exporting countries.
Explore the essential economic development indicators used to assess the performance and potential of emerging markets, including GDP, inflation, and more.
Explore the pivotal role of the Bank of Canada in shaping the nation's economic landscape through monetary policy, financial system stability, currency management, and funds management.