Recently, there has been increased volatility in the US stock market, which is partly caused by fears that the Federal Reserve will raise the rates. The FRS is preparing to begin tightening its monetary policy, while the growth rate of the US economy is slowing down, and investors are conducting a large asset revaluation.
Meanwhile, CPI in Ukraine remained at the same level as previous month. Low yield from domestic government bonds.
Отримати на e-mail
Перевірте e-mail Дякуємо за Вашу цікавість!