Found: 266

Financial results of Cherkizovo Group for 9 months of 2024

... program. The volume of capital expenditures in the first half of the year reached RUB 15.2 billion, an increase of more than 1.6 times compared to the same period last year. Cherkizovo Expansion of the product portfolio: An increase in the share of the flagship ... ... dividend payments, which is a positive factor for shareholders. Cherkizovo Group demonstrates sustainable growth and effective management, which makes it attractive to investors. However, it is recommended to closely monitor market trends and strategic ...

Bonds for Investors: How to Earn with Minimal Risks

... temporary delay in payment on a bond, but not a complete refusal to pay. If the issuer fails to make a coupon or nominal payment on time, they are usually given a short grace period (typically up to 10 days) to resolve the issue. At this stage, the issuer has ... ... During a technical default, the prices of bonds can significantly drop as the market anticipates the outcome. If the issuer manages to settle the debt within the grace period, the price usually returns to previous levels, and an actual default does not ...

Startup and Venture Investment News — August 8, 2025: Mega Funds, AI, and Successful IPOs

... revival in fintech: large rounds are taking place not only in the U.S. but also in Europe, Asia, and emerging markets. At the same time, the boom in "green" technologies continues: funds are eagerly financing climate projects—from renewable energy ... ... cybersecurity instills confidence in the market's further growth, but venture funds pay particular attention to diversification and risk management. Nonetheless, the main priority will be the quality of growth: focusing on the long-term sustainability of startups ...

Cryptocurrency Portfolio Diversification Plan

... traditional assets, the digital asset market is quite volatile. Prices can suddenly fluctuate in different directions several times a day, either benefiting or harming investors. Thus, just as volatility tends to enhance profitability, it also increases ... ... not be as severe as those faced by an individual investing solely in Bitcoin. Thus, diversification can be considered a risk management strategy for a crypto portfolio. Additionally, diversification acts as a profit-maximizing strategy under certain market ...

Cryptocurrency News - Friday, August 1, 2025

... industry attracted over $13 billion of new capital, significantly exceeding previous highs. As a result, total assets under management for crypto funds have surpassed a historic peak, exceeding $220 billion. By comparison, this figure was half that at ... ... weeks, a redistribution has been observed: while Bitcoin-related funds recorded a slight outflow of funds (the first in a long time), products focused on Ethereum and other major altcoins, conversely, attracted significant capital. For instance, in the ...