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В 16 российских регионах детей начали готовить к ракетным ударам – учителя проводят беседы и показывают школьникам, как вести себя в случае атаки.

Это же в эту страну до начала войны не прилетал не один снаряд, а войну пришлось начать, чтобы защититься от соседства с опасной Украиной?

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В 16 российских регионах детей начали готовить к ракетным ударам – учителя проводят беседы и показывают школьникам, как вести себя в случае атаки.

Это же в эту страну до начала войны не прилетал не один снаряд, а войну пришлось начать, чтобы защититься от соседства с опасной Украиной?

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The last couple days have exemplified that uncertainty. On Thursday, news emerged that talks in Turkey between the Russia and Ukraine yielded no positive result. But on Friday, Reuters reported that Russian President Vladimir Putin said there had been some “positive shifts” in talks between the two sides. 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. 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. Investors took profits on Friday while they could ahead of the weekend, explained Tom Essaye, founder of Sevens Report Research. Saturday and Sunday could easily bring unfortunate news on the war front—and traders would rather be able to sell any recent winnings at Friday’s earlier prices than wait for a potentially lower price at Monday’s open. For tech stocks, “the main thing is yields,” Essaye said.
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