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Goldman Sachs Forecast 2025: Investment Strategies and Challenges
... currency markets.
Key Capital Management Strategies
Goldman Sachs identifies several approaches that can help investors preserve and grow capital in a challenging macroeconomic environment.
1. Portfolio Diversification
This is a key strategy for minimizing risks.
Investors are advised to focus on global diversification, incorporating assets from various regions and sectors.
Particular attention should be given to emerging markets that demonstrate resilient growth.
2. Sustainable Development (ESG)
ESG-compliant companies show better returns due to the ...
What is Investing and How to Start Investing: A Complete Guide for Beginners
... long-term goals, stocks and real estate.
Tips for beginner investors in Russia
Invest only available funds Never invest your last money or funds that you may need in the near future. Use only the money you can afford to lose.
Maintain diversification Diversification is one of the key principles of risk management. Include several different types of assets in your portfolio.
Monitor taxes In Russia, there is a tax on investment income, so it is important to take into account tax liabilities. You can also take advantage of a tax deduction through ...
Pre-IPO Market: Features, Stages, Risks, and Strategy
... specializing in late-stage investments. Such funds pool contributions from multiple investors and allocate them to pre-IPO transactions. For retail investors, purchasing fund shares can be a way to indirectly participate in deals, reducing individual risks via diversification. Meanwhile, fund managers handle the entire transaction end-to-end—from due diligence to exit strategy.
In international practice, hybrid formats are also found: convertible loans or equity options issued in the final stages before an ...
Cryptocurrency Portfolio Diversification Plan
... low. From the previous example, it is evident that both Bitcoin and Ethereum prices declined. However, the losses incurred by an investor holding both assets would not be as severe as those faced by an individual investing solely in Bitcoin.
Thus, diversification can be considered a risk management strategy for a crypto portfolio. Additionally, diversification acts as a profit-maximizing strategy under certain market conditions. This was evident during the DeFi boom of 2020. During that period, the DeFi sector outperformed other ...
Trump's Wealth Increased by $1.4 Billion After Election Victory: What It Means for Investors
... Investors should exercise caution, especially if they are interested in long-term growth. Investments in companies where valuations are closely tied to political events may struggle during economic instability, necessitating additional measures for diversification and risk management.
Opinion of Sergey Teryoshkin, Founder of
Open Oil Market
"Donald Trump's election victory and the subsequent growth of his wealth serve as a clear example of how politics impacts the market. For investors, shares of Trump Media ...