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Sanctions have begun to be lifted: what should Russian investors expect?
... sanctions. In addition, companies whose activities were previously restricted may face difficulties in restoring ties and establishing new markets.
On the other hand, Russian investors should take into account that domestic economic policy will also change. A possible reduction in interest rates by the Bank of Russia and support for strategically important industries from the state create favorable conditions for investment in the industrial and technological sectors.
What should investors expect and what steps should they take?
Diversify ...
How to Choose Investment Assets in an Unstable Market
... susceptible to instability.
Asset Classes for Investing in an Unstable Market
Different asset classes may react differently to changes in the economy. Let’s examine the primary ones:
Stocks
Stocks are traditionally regarded as high-risk assets, but during ... ... growth potential of the companies.
Bonds
Bonds are more stable assets compared to stocks, but their yields depend on current interest rates. In unstable market conditions, it is advisable to consider the following types of bonds:
Government bonds. Government bonds,...
U.S. Investment Banks Show Strong Results: 4th Quarter 2024 Overview
... results from the largest U.S. banks illustrate their adaptability to shifting economic conditions and their ability to capitalize on market volatility. However, experts note that key challenges will persist in 2025:
Potential economic slowdown amidst high interest rates.
Increased competition in retail banking.
Regulatory changes that may impact banks' profitability.
Commentary from Sergey Tereshkin, CEO of Open Oil Market
«The results of the largest U.S. investment banks underscore the importance of adapting to changing conditions. The growth in interest income and asset ...
Trade Wars: What Investors Should Worry About
... are unpredictable.
In this regard, Sergey Tereshkin aligns with experts who advise investors to hold off on making significant changes. It is impossible to predict how the negotiations between the U.S. and China will ultimately unfold. Both sides appear ... ... maintaining stability.
Preservation of credit and financial policies. The head of the European Central Bank, who significantly lowered interest rates to nearly negative levels to alleviate deflationary pressure on the economy, is set to resign this autumn. As a result, ...
Economic Events and Corporate Reports - Tuesday, August 5, 2025 - PMI Index and US Trade Balance
... AMD for the second quarter of 2025, as well as reports from BP and Ozon, will attract interest. These events may impact the stock market and investor expectations. Details... ... these factors will form the informational backdrop for the day, impacting currency rates, commodity prices, and stock index movements.
Key events for Tuesday, August 5... ... meeting will be available. Investors will analyze it for discussions about potential changes to ultra-loose policy against the backdrop of rising inflation and yen volatility...