With federal operations fully restored, markets and analysts alike are turning their attention to a much-anticipated wave of economic indicators that had been delayed. The resumption of reports such as the monthly unemployment figures, inflation data, and consumer spending trends is expected to provide a clearer picture of the current economic landscape. Investors are particularly keen on these releases, as they will influence policy decisions and market dynamics in the coming months.

Key reports scheduled for release in the coming weeks include:

  • Employment Situation Summary – revealing job creation and unemployment rates
  • Consumer Price Index (CPI) – measuring inflationary pressures
  • Retail Sales Figures – indicating consumer spending health
  • Gross Domestic Product (GDP) updates – providing economic growth insights
Data Report Expected Release Date Market Impact
Employment Situation Summary April 5 High
Consumer Price Index (CPI) April 12 Medium
Retail Sales Figures April 15 High
GDP Update (Q1) April 28 High