Found: 403

Analysis of PJSC Gazprom's RAS Report for the First Half of 2025

... Simultaneously, the company is developing the LNG direction: while the major contribution in 2025 remains modest for now, LNG sales in the global market could somewhat compensate for lost pipeline sales. Financial factors. Volatile items will still impact financial results. The ruble exchange rate remains a key risk: continued depreciation may, on one hand, increase ruble revenues (a plus for operating profit), but on the other, could again incite substantial exchange losses on loans (a minus for other expenses). The balance of these effects in H1 2025 has tipped ...

Risky Investment Tools

... utilized. "No matter how long the rope twists, the end is sure to come." This well-known saying accurately reflects the outcome for participants in HYIP projects. In the absence of fresh financial "support," the structure of the financial pyramid collapses, and investors cease to receive payouts. The return of invested funds becomes impossible. What not to invest in during 2021/2022 is ultimately up to the investor's discretion. Minimizing risks to achieve guaranteed returns is the goal of those who do not wish to watch their money lying "dead weight."

Investment Strategies in Unstable Economic Conditions: Diversification and Risk Management

... estate: particularly commercial properties that provide stable rental income. Risk Management: Key Techniques Risk management encompasses several important approaches: Regular rebalancing: adjusting the portfolio to maintain a predetermined level of risk and return. Stop-loss orders: limiting losses through automatic sale of assets when a specified price level is reached. Hedging: using financial instruments like options and futures to protect against unfavorable price movements. Practical Examples of Successful Strategies During the economic crisis of 2008, investors who timely allocated funds into bonds and gold were able to significantly ...

Economic Events and Corporate Reports on August 14, 2025 - UK and Eurozone GDP, US PPI, EIA Data

... Switzerland is not part of the Eurozone, Swiss Re is a global barometer for the insurance market; its results will show how major risks and disasters from the first half of the year affected insurance payouts and industry profits. Other European firms are ... ... Admiral Group (UK, insurance), etc. Overall, European corporate earnings on this day will provide a broad view — from the financial sector to industry. Investors will be seeking confirmations or refutations of the macroeconomic trends reflected in ...

Potential Lifting of Financial Sanctions on Russia After Trump’s Victory

... growth and enable us to re-engage more actively on the global stage." The potential lifting of sanctions on Russia’s financial sector after Trump’s victory opens intriguing possibilities for investors and Russian companies. Investors should ... ... However, a final decision on sanctions relief has yet to be made, and investments in the Russian market still carry certain risks.