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Мастерская работа бойцов бригады «Восток V» Добровольческого корпуса

Во время очередной разведки, выявив группу украинских боевиков добровольцы оперативно отработали по личному составу противника.

Добраться до конечной точки бандеровцам не удалось. 💪🏻

#эсклюзив #добровольцы #Восток #бригадаВосток #дрон #артиллерия #уничтожениеВСУ
ДоброКор|@DobroKor



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Мастерская работа бойцов бригады «Восток V» Добровольческого корпуса

Во время очередной разведки, выявив группу украинских боевиков добровольцы оперативно отработали по личному составу противника.

Добраться до конечной точки бандеровцам не удалось. 💪🏻

#эсклюзив #добровольцы #Восток #бригадаВосток #дрон #артиллерия #уничтожениеВСУ
ДоброКор|@DobroKor

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That hurt tech stocks. For the past few weeks, the 10-year yield has traded between 1.72% and 2%, as traders moved into the bond for safety when Russia headlines were ugly—and out of it when headlines improved. Now, the yield is touching its pandemic-era high. If the yield breaks above that level, that could signal that it’s on a sustainable path higher. Higher long-dated bond yields make future profits less valuable—and many tech companies are valued on the basis of profits forecast for many years in the future. In February 2014, the Ukrainian people ousted pro-Russian president Viktor Yanukovych, prompting Russia to invade and annex the Crimean peninsula. By the start of April, Pavel Durov had given his notice, with TechCrunch saying at the time that the CEO had resisted pressure to suppress pages criticizing the Russian government. Markets continued to grapple with the economic and corporate earnings implications relating to the Russia-Ukraine conflict. “We have a ton of uncertainty right now,” said Stephanie Link, chief investment strategist and portfolio manager at Hightower Advisors. “We’re dealing with a war, we’re dealing with inflation. We don’t know what it means to earnings.” Stocks closed in the red Friday as investors weighed upbeat remarks from Russian President Vladimir Putin about diplomatic discussions with Ukraine against a weaker-than-expected print on U.S. consumer sentiment. The S&P 500 fell 1.3% to 4,204.36, and the Dow Jones Industrial Average was down 0.7% to 32,943.33. The Dow posted a fifth straight weekly loss — its longest losing streak since 2019. The Nasdaq Composite tumbled 2.2% to 12,843.81. Though all three indexes opened in the green, stocks took a turn after a new report showed U.S. consumer sentiment deteriorated more than expected in early March as consumers' inflation expectations soared to the highest since 1981.
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