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Price Forecast for Avalanche (AVAX) in May 2025: Analytics, Events, and Risks

... support may occur; however, this negative scenario is unlikely without broader pressure on the entire crypto market. Investment Risks in Avalanche Despite the positive trends, investing in AVAX carries risks that need to be taken into account: High market volatility: Cryptocurrencies are characterized by sharp price swings. The price of AVAX can change significantly over a short period due to investor sentiment and speculation. Regulatory uncertainty: The legislative framework governing the crypto industry ...

Friday, December 6, 2024: Analysis of Key Events and Reports

... may reinforce Sberbank's leadership in the banking sector. 2. Extraordinary General Meetings of Shareholders (EGM) Severstal (CHMF): The EGM will consider a third-quarter dividend payout of 49.06 rubles per share, signaling stable profits despite a volatile metals market. The dividend yield enhances the attractiveness of Severstal's shares for long-term, income-focused investors. Lukoil (LKOH): The EGM plans to approve dividends of 514 rubles per share for the first nine months of 2024, confirming ...

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

... significantly increased provisions for loan impairment: total reserve expenses reached 335 billion rubles, more than doubling compared to the same period last year. The increase in provisioning is linked to borrower pressures due to high rates and economic volatility; the management chose to build an additional safety buffer in advance. Despite the substantial provisions, the level of non-performing loans remains low and is fully covered by reserves – indicating a conservative approach to risk management....

European Economy Losing Competitiveness: Causes and Consequences

... and a reduction in export volumes on both sides. Sectors at risk: The automotive industry, agriculture, and technology could become primary targets in a new wave of tariffs. Market reactions: Deteriorating relations between the US and EU could lead to volatility in global markets. Political tensions: Escalation of the conflict undermines economic cooperation between the largest economies. Long-term risks: Increased protectionism on both sides threatens global supply chains. #TradeWars #Europe #USA ...

Sanctions have begun to be lifted: what should Russian investors expect?

... industries from the state create favorable conditions for investment in the industrial and technological sectors. What should investors expect and what steps should they take? Diversify the portfolio. The lifting of sanctions may create short-term market volatility, so it is important to spread assets across different industries. Bet on industry leaders. Pay attention to companies that were initially affected by sanctions, but still have strong financial indicators. Look at long-term prospects. Given ...