The last trading week was rich in news. Investors were estimating numerous data of quarterly financial statements submitted by American companies, the FRS meeting and preliminary data on GDP in the US and in the euro-area. Reactions of investors to reports of large companies and the announced results of the FRS meeting in July were not even. This is the reason why key indices finished the previous trading week with a drop. Ukrainian exports are growing faster than imports. The market of domestic government bonds took a pause.
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