Dear nasril nizam | ||||||||||||
Summary: Who has expected that by 2014 the population of Russia will withdraw in panic their bank ruble deposits? Is it a physiological return to 2008? In current webinar all fundamental factors, influencing the activity decrease in banking sector of Russia will be considered. We shall analyze the dynamics of basic indicators: monetary policy of Central Bank, lending volumes, consumer deposits, real disposable income, inflation, etc. A connection between geopolitical risks, sanctions and expectations of population will be stated. An investment portfolio of Russian banking stocks and Russian ruble shall be developed on the basis of considered tendencies: Sberbank (SBER), VTB24 (VTBR) and RUR. An analysis of the portfolio historical prices will be conducted with use of PCI GeWorko technology. Time of the event: June 12, 16:00 CET Duration: 45 Min Register For Webinar | ||||||||||||
| ||||||||||||
If you want to unsubscribe from our emails, please, click here. |
Wednesday, June 4, 2014
New Webinar "Banking sector in Russia: slowdown and possibilities for a CFD portfolio investment"
« Newer Post
Older Post »
No response to “New Webinar "Banking sector in Russia: slowdown and possibilities for a CFD portfolio investment"”
Leave a Reply