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High Impact

Russia Unleashes Major Missile Attack on Kyiv Amid Ukraine War

📅
🏷Markets
📰via France24
✍️Edited by Luís Barata

Russia has conducted a significant missile strike on Kyiv, escalating tensions in the ongoing conflict. This development is likely to heighten geopolitical risk and influence market sentiment through increased risk aversion and potential disruptions in energy supplies. Assets most exposed include Ukrainian equities and Russian sovereign bonds, as investors reassess their risk profiles in light of the renewed hostilities. Traders will be particularly attentive to any subsequent international responses or sanctions, as well as updates on the humanitarian situation, which could further impact market dynamics.

Source: Originally reported by France24 at May 24, 2026. Summary and market context by Trading News Terminal editorial.

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HIGH-impact news is typically a market-moving event with multi-pip or multi-percent intraday reactions. Examples include central bank rate decisions, major CPI/NFP releases, geopolitical shocks, mega-cap earnings beats/misses, and regulatory announcements. Traders typically position-reduce or hedge ahead of scheduled HIGH-impact events, and follow the wire in real time to react to unscheduled ones (war headlines, central-bank emergency statements, surprise corporate actions). The Trading News Terminal squawk box reads every HIGH-impact headline aloud the moment it hits the wire — so active traders don't have to stare at the feed.

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