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

... year-on-year to 1.674 trillion rubles, driven by the expansion of lending volumes and the rise in asset yields amidst increasing market rates. The bank effectively capitalized on the period of high rates, boosting income from asset placements while optimizing ... ... reinvesting a significant portion of profits in development and paying substantial sums to shareholders. Comparison with Last Year and Outlook for 2H2025 The previous year was characterized by lower rates, which restrained growth in interest income but allowed ...

Friday, November 15, 2024: Key Economic Events for Investors

... prices, impacting energy stocks. 4. Other Global Events India Wholesale Price Index (WPI, October) — Published at 06:00 GMT India’s WPI provides a measure of wholesale inflation. High inflation may influence the Reserve Bank of India’s policy outlook, impacting the rupee and local markets. Brazil Economic Activity Index (September) — Published at 12:00 GMT This index is a leading indicator for Brazil’s GDP, reflecting overall economic activity. Strong activity supports the Brazilian real and may boost investor sentiment, while ...

Thursday, December 12, 2024: Analysis of Key Events and Reports

... strong holiday spending. Analysts will pay attention to same-store sales and profit margins. RH (RH): Earnings expected at 00:05 (MSK). A 7.9% growth in revenue reflects strong demand for luxury home furnishings. Key points include the company’s outlook for 2025 and expansion plans. My Commentary on Thursday’s Events As the founder of Open Oil Market, I see Thursday’s events as pivotal for understanding global economic and market trends. The ECB’s rate decision and forecasts will shape expectations for monetary policy in Europe, directly influencing bond yields and the euro. For the U.S....

Possible Lifting of Sanctions on Russia's Financial Sector After Trump's Victory: What It Means for the Market and Investors

... international investors to refrain from investing in Russian assets. However, with the possibility of sanctions being lifted, they may re-enter the market, leading to increased investment volumes and strengthening the position of the Russian ruble. Outlook for the Russian Market Strengthening the Ruble and the Financial Sector If sanctions are eased, one can expect the ruble to strengthen, as the influx of investments and the resumption of international operations would increase demand for the Russian currency. This could ...

Wednesday, December 11, 2024: Analysis of Key Events and Reports

... interest rate hikes, strengthening the U.S. dollar and impacting global financial markets. 17:45 (MSK): Canada – Central Bank Interest Rate Decision The Bank of Canada’s decision on the key interest rate will shed light on the country’s economic outlook and inflation. Changes in the rate or dovish commentary could impact the Canadian dollar and North American markets. 18:30 (MSK): USA – EIA Crude Oil Inventory Report The U.S. Energy Information Administration’s official report on crude oil and petroleum product inventories often causes significant volatility in oil prices. Investors will closely watch ...