Found: 428

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

... tighter Federal Reserve policies. Earnings Season 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,...

Key Economic and Investment Events on November 23, 2024

... search for alternative investment instruments. What Investors Should Pay Attention To: Investors should closely monitor the decisions of the Central Bank, especially in light of a potential increase in the key rate. This could affect the cost of borrowed funds, which is important for business and long-term investment plans. It is also essential to consider the impact of new legislative initiatives, such as the income tax on deposits, which may alter depositors' preferences and encourage the search for ...

MTS Bank's financial results under IFRS for the nine months of 2024

... interest income is the difference between interest income (e.g. from lending) and interest expenses (e.g. from deposits). The growth of this indicator indicates an increase in the efficiency of the bank's core business and the ability to attract and place funds profitably. Net fee and commission income: RUB 13 billion, an increase of 56% year-on-year. BCS Express Significance and impact: Net fee and commission income reflects profit from the provision of various services, such as account servicing, payment ...

DVMP's financial statements under RAS for 9M2024, please comment.

... the financial results. It is important to understand what caused the increase and what steps the company is taking to optimize these expenses. Financial liabilities — Negative financial results can impact the company’s ability to service debt and fund its operations. Investors should examine the liability structure and assess potential liquidity risks. Strategic changes — Investors should pay attention to the company’s strategy in the current financial challenges. If DVMP plans to revise its ...

Investment Strategies in Unstable Economic Conditions: Diversification and Risk Management

... specified price level is reached. Hedging: using financial instruments like options and futures to protect against unfavorable price movements. Practical Examples of Successful Strategies During the economic crisis of 2008, investors who timely allocated funds into bonds and gold were able to significantly reduce their losses and even make a profit. During the 2020 pandemic, investors with a diversified portfolio that included technology stocks significantly outperformed the market. How to Build a Portfolio ...