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Wage Growth in Russia by 2028: Forecast and Investment Strategies
... not slow as expected, a fixed-income strategy will still provide steady coupon payments, even if bond prices do not rise. Overall, given economic growth and a gradual easing of price pressures, government bonds appear to be a reliable component of a portfolio.
Real Estate and Other Assets
Real estate is traditionally one of the primary investment avenues during times of rising household prosperity. Higher wages improve housing affordability: more families can save up for a mortgage down payment or expand their budget for buying property. In the short term, high interest rates make mortgages ...
Lessons from the Game of Monopoly for Entrepreneurs and Investors
... management and cash flow. It teaches that it’s not enough to simply acquire assets; maintaining liquidity and making wise investment choices are essential for long-term success. This mirrors real-life business decisions where balancing capital allocation ... ... mitigate potential losses. In the real world, this lesson underscores the need for entrepreneurs and investors to diversify their portfolios, balancing between different asset types to maintain financial stability.
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Competition and Market Strategy
In Monopoly,...
EU Faces Trade War Threat: Macron Warns Investors of Rising Risks with the US and China
... of relevant companies.
Long-Term Investments in Resilient Sectors:
In light of global changes, it is important to focus on sectors that may benefit from domestic demand growth and EU support, such as green energy, IT, and biotech.
Diversification of Investments:
To reduce exposure to trade conflicts, investors may consider diversifying their portfolio by adding assets from other regions, such as Asia, Latin America, and Africa.
Monitoring Policy Changes:
Future EU decisions on protectionism, boosting domestic demand, and economic fortification could create additional investment opportunities....
Dedollarization of Global Finance: Reducing Investments in US Treasury Securities
... and geopolitical power. A reduction in its share could weaken this position.
What Does This Mean for Investors and Traders?
Portfolio Diversification: Investors should consider focusing on alternative assets, including gold, bonds in yuan, and other ... ... bonds and the stock market.
Opportunities in New Financial Centers: The development of alternative reserve assets could open investment opportunities in economically growing countries.
Dedollarization is becoming a new reality in the global economy, and ...
Record Cash: $347.7 Billion at Berkshire Hathaway
... quarter than it has purchased. In the first quarter of 2025, sales exceeded purchases by approximately $1.5 billion, continuing this unique trend. For Buffett's conglomerate, such an extended period of divesting stocks indicates a cautious stance. The portfolio remains dominated by major investments (including Apple, Bank of America, American Express, Coca-Cola, etc.), though the proportion of these flagship positions has slightly decreased over recent quarters. For example, Berkshire is gradually selling off a portion of its Apple stake,...