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S&P 500 and Stop Trade Levels 2025: The Worst Three Days Since 1987

... Negative forecasts from major banks and tech companies are exacerbating panic selling. Implications for Investors Increased volatility is undermining retail investor confidence in the stock market. Many fund managers are reassessing their hedging and diversification strategies. Defensive assets are gaining popularity: gold, high-rated bonds, and cash. Historical Context: Comparison with 1987 The last time a similar crash occurred was in October 1987, when the Dow Jones fell by 22.6% in a single day. While the current decline is less severe,...

Macroeconomic Events and Quarterly Reports of Major Companies on July 22, 2025: Reports from Coca-Cola, RTX, Equifax, SAP, UniCredit

... grow sales, while tech giants invest in new directions. This indicates the underlying strength of the economy even amid policy tightening. Investors from the CIS should use the information obtained to adjust their strategies. Market analysis shows that diversification and a measured approach pay off: an unexpectedly weak report or macro indicator in one sector (for example, in real estate or IT) won't crash an entire portfolio if assets are spread across different industries sergeytereshkin.ru . The week continues – new challenges lie ahead, including the ECB meeting and further reports (Tesla, Alphabet, etc.). Today's events provided rich material for reflection and highlighted ...

Startup & VC News - Wednesday, June 18, 2025: AI Megadeals and Defense Tech Fuel Venture Market Growth

... up with IT in terms of venture financing. Cryptocurrencies: signs of renewed interest After a protracted decline, the digital asset market is starting to revive, which is reflected in venture investments. Regulators are gradually legalizing new instruments: ... ... possible overheating of certain segments (primarily AI) and the uncertainty of the global economy require a balanced approach. Diversification of investments by industry and expansion of the range of capital sources help to reduce these risks. As a result,...

Ruble Concludes 2024 Above 100 Against Dollar: Causes, Forecasts, and Implications

... expenses are tied to foreign currencies. Business Companies dealing with imported goods will face rising costs. This may lead to price increases for services and products, further impacting consumer demand. What This Means for Investors and Businesses Asset Diversification It is recommended to hold savings in various currencies and consider investments in precious metals. Revising Financial Strategies Businesses should minimize dependence on imports and assess currency risks. Attention to News Stay informed ...

Economic News: Saturday, July 26, 2025 - CBRF Reduces Rate, Wall Street Hits New Highs

... The bank's loan portfolio expanded by more than 15% over the year, particularly due to mortgage and consumer lending, while asset quality remained high (the proportion of defaults is around historical lows). Notably, HDFC Bank announced a rare initiative ... ... prosperity of services and consumer goods against the difficulties faced by industrial giants) emphasize the importance of portfolio diversification. In the coming days, the focus will shift to the Fed's decisions and the reports from tech leaders—they could ...