@Trading Pips:
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futures are that they provide investors with the opportunity to speculate on the price of silver without having to physically own it. Silver futures also provide investors with the ability to leverage their investments, as well as the ability to hedge against inflation and currency devaluations. Silver futures contracts provide investors with the ability to take advantage of both short-term and long-term price movements in the silver market.$Global X Silver Miners ETF(SIL)$
Interest rate will. Be 5% if drops banks will drop
Interest rate will. Be 5% if drops banks will The banking sector's profitability increases with interest rate hikes. Institutions in the banking sector, such as retail banks, commercial banks, investment banks, insurance companies, and brokerages have massive cash holdings due to customer balances and business activities. Increases in the interest rate directly increase the yield on this cash, and the proceeds go directly to earnings. An analogous situation is when the price of oil rises for oil drillers. The benefit of higher interest rates is most notable for brokerages, commercial banks, and regional banks
@Optionspuppy:$Alibaba(BABA)$is not a meme stock as it has positive earnings amd is a worldwide company those meme stocks have negative earnings and are not used in world wide like gamestop It has a positive earnings of $3.62 And also net cash of $20 per share So it's actually a stock with constant earnings and also with healthy cash do not say its a meme stock It's has rise from the Low of 60 and will never look back
@Optionspuppy:Why $Vanguard S&P 500 ETF(VOO)$ rise in the long run ? VOO ETF will rise in the long run because it tracks the performance of the S&P 500 Index, which is composed of the 500 largest publicly-traded companies in the US. These companies are some of the most successful and stable companies in the world, and their performance is likely to remain strong in the long run. As a result, the performance of VOO ETF is likely to rise in the long run.
@onlyYou:After one of the worst weeks for the stock market in 2022, two factors could swing the market over the next few days and set investors up for a tumultuous fourth quarter.The market is reeling after a broad selloff on Friday, capping off a two-week swoon that took the S&P 500 down 9.2%, to 3693. The index is down 23% from its January peak. Federal Reserve Chairman Jerome Powell has made it clear that the Fed’s primary concern is inflation, and the central bank is willing to impose financial pain to bring it down. Investors are increasingly believing him.That means that the market is likely to swing on two main themes over the next few weeks—inflation data and any hints of what the Fed plans to do in their next few meetings. In the next week, more of those hints could be on their way.Inv