Priority:
Region:
Hour Remain.   Type of event Period Priority Curr. Forec. Prev.
02:30  - Westpac Consumer Sentiment Westpac Consumer Sentiment September 2 8.1% -3.5%
06:30 Industrial Production s.a. - fin.. July 2 0.4% m/m 0.6% m/m 3.8% m/m
09:00  - Harmonised Index of Consumer Prices Harmonised Index of Consumer Prices August 1 4.1% y/y 4% y/y 3.8% y/y
09:15  - Producer Price Index Producer Price Index August 1 -1.8% y/y -0.8% y/y
09:15  - Import Price Index Import Price Index August 2 -1.9% y/y -1.1% y/y -0.6% y/y
10:30  - Jobless Claims Change Jobless Claims Change August 2 20.3 k 34 k 37.1 k
10:30  - Unemployment Rate Unemployment Rate July 2 7.9% 7.9% 7.9%
11:00  - Industrial Production s.a. Industrial Production s.a. July 1 1% m/m 1.3% m/m -0.7% m/m
11:00  - Industrial Production w.d.a. Industrial Production w.d.a. July 1 4.2% y/y 4.7% y/y 2.9% y/y
14:00  - Money Supply M3 Money Supply M3 August 1 8.5% y/y 7.3% y/y 7.3% y/y
14:30  - Industrial Capacity Utilization Rates Industrial Capacity Utilization Rates 2Q 1 78.4% 78% 79%
14:30  - Retail Sales Retail Sales August 3 0.2% m/m 0.5% m/m
14:30  - Retail Sales Ex Autos Retail Sales Ex Autos August 3 0.1% m/m 0.2% m/m 0.5% m/m
14:30  - Producer Price Index Producer Price Index August 2 6.5% y/y 6.5% y/y 7.2% y/y
14:30  - Producer Price Index Producer Price Index August 2 -0.1% m/m 0.2% m/m
14:30  - Core Producer Price Index Core Producer Price Index August 2 2.5% y/y 2.6% y/y 2.5% y/y
14:30  - Core Producer Price Index Core Producer Price Index August 2 0.1% m/m 0.2% m/m 0.4% m/m
16:00  - Business Inventories Business Inventories July 1 0.4% m/m 0.5% m/m 0.3% m/m
16:30  - Crude Oil Stocks - Weekly Change Crude Oil Stocks - Weekly Change Week 3 -6.7bbl mn -3.3bbl mn -4bbl mn
16:30  - Gasoline Stocks - Weekly Change Gasoline Stocks - Weekly Change Week 2 1.9bbl mn -0.9bbl mn 0.2bbl mn
16:30  - Distillate Stocks - Weekly Change Distillate Stocks - Weekly Change Week 1 1.7bbl mn 0.5bbl mn 0.7bbl mn
23:00  - Official Cash Rate Official Cash Rate September 3 2.5% 2.5% 2.5%
23:00  - Monetary Policy Statement Monetary Policy Statement 3Q 3
No data
Контракти на різницю цін (CFD) – це складні інструменти, пов язані з високим ризиком швидкої втрати грошей з огляду на кредитне плече.
76% рахунків роздрібних інвесторів втрачають гроші в результаті торгівлі контрактами на різницю в цього постачальника.
Поміркуйте над тим, чи розумієте ви, як працюють контракти CFD, i чи готові ви взяти на себе ризик втрати грошей.