Found: 181

Cryptocurrency News for August 6, 2025 — Visa, PayPal, XRP and Regulation

... the most dynamic and attractive areas for investment. For now, many investors opt for a wait-and-see strategy: the market is consolidating, yet the fundamental premises for new growth remain, making digital assets an essential part of a diversified investment portfolio.

Investors on Alert: Stability in Russian Services and Rising Composite PMI — What's Next?

... services sector and slight growth in industrial indicators as a signal of moderate optimism; however, high inflation and sanctions continue to impose restraining factors on risk positions. Conservative scenarios dominate the stock and bond markets: portfolios are balanced and awaiting clearer signals. The currency market is poised to respond to any deviations from expectations regarding the key rate and external factors. Investment strategies remain focused on capital preservation in light of increasing volatility and uncertainties in macro forecasts.

American Options: A Detailed Analysis and Application

... of predicting the execution can be an obstacle for novice traders. As the founder of Open Oil Market, I always recommend carefully analyzing the risks and opportunities before using such instruments. American options can be a great addition to your investment portfolio if you understand their features and know how to correctly apply them in your strategies. Options: Types and their Application for Investors and Traders

Financial Results of Sber for Q1 2025: Growth in Net Profit and High Profitability

... increase in costs was partially driven by inflationary pressures (salary indexing and other items) as well as significant bank investments in IT infrastructure and the development of digital services. Nevertheless, the rise in expenses slightly outpaced ... ... operational profitability even in challenging macroeconomic conditions. Asset Quality and Reserve Expenses The quality of the loan portfolio remains relatively high, but the bank has exercised caution in risk assessment amidst external economic challenges. ...

CAPE Ratio of the S&P 500 Reaches Second Record: Is the Market Overheated?

... repeat itself, the market could face significant corrections in the coming years, especially if macroeconomic conditions deteriorate. What Should Investors Do? Given the historical data and the current situation, investors should consider: Reassessing Portfolio Composition – reducing exposure to overvalued stocks and adding defensive assets. Diversifying Investments – looking into international markets and alternative asset classes. Monitoring Federal Reserve Actions – possible monetary policy changes may impact the market. Avoiding Excessive Risk – history indicates that periods of high overvaluation ...