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18-летний водитель без прав погиб в автоаварии в Краснодарском крае В станице Рязанской на улице Первомайской в ночь с 29 на 30 ноября 18-летний водитель автомобиля ВАЗ-2106 погиб при лобовом столкновении с «Нивой». По предварительным данным полиции, 18…
Жители станицы Рязанской провели собственное расследование и утверждают, что погибший в ДТП минувшей ночью 18-летний водитель не виноват в случившемся.

Напомним, что прав у погибшего водителя не было.

О самой аварии мы рассказывали здесь.

❗️ свои фото, видео и истории присылайте нашему боту @prostokrd_bot

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Жители станицы Рязанской провели собственное расследование и утверждают, что погибший в ДТП минувшей ночью 18-летний водитель не виноват в случившемся.

Напомним, что прав у погибшего водителя не было.

О самой аварии мы рассказывали здесь.

❗️ свои фото, видео и истории присылайте нашему боту @prostokrd_bot

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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. And while money initially moved into stocks in the morning, capital moved out of safe-haven assets. The price of the 10-year Treasury note fell Friday, sending its yield up to 2% from a March closing low of 1.73%. The next bit isn’t clear, but Durov reportedly claimed that his resignation, dated March 21st, was an April Fools’ prank. TechCrunch implies that it was a matter of principle, but it’s hard to be clear on the wheres, whos and whys. Similarly, on April 17th, the Moscow Times quoted Durov as saying that he quit the company after being pressured to reveal account details about Ukrainians protesting the then-president Viktor Yanukovych. And indeed, volatility has been a hallmark of the market environment so far in 2022, with the S&P 500 still down more than 10% for the year-to-date after first sliding into a correction last month. The CBOE Volatility Index, or VIX, has held at a lofty level of more than 30. "We're seeing really dramatic moves, and it's all really tied to Ukraine right now, and in a secondary way, in terms of interest rates," Octavio Marenzi, CEO of Opimas, told Yahoo Finance Live on Thursday. "This war in Ukraine is going to give the Fed the ammunition, the cover that it needs, to not raise interest rates too quickly. And I think Jay Powell is a very tepid sort of inflation fighter and he's not going to do as much as he needs to do to get that under control. And this seems like an excuse to kick the can further down the road still and not do too much too soon."
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