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European Economy Losing Competitiveness: Causes and Consequences
... policy will be a key tool in supporting the economy, with an interest rate cut likely in 2025.
Currency market: Potential economic slowdown may weaken the euro, creating opportunities for currency traders.
Recession risks: Investors should reassess their portfolios, focusing on defensive assets such as bonds and commodities.
Long-term prospects: Investments in sectors poised to benefit from potential stimulus programs may prove successful in the long run.
#Europe #Recession #Economy #Investments #Forecast
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Major Cryptocurrency Option Expirations in August 2025: What Awaits Investors
... effect is not guaranteed — external factors can also influence prices.
Market Participants' Tactics Ahead of Expiration
Major investors and traders typically prepare in advance for expiration weeks by managing risks and restructuring their derivatives portfolios:
Position Rollovers:
Many option holders prefer to
roll over
their positions to longer-dated contracts to avoid execution. In August, an increase in open interest for September and December series is expected as the expiration date of the ...
Inflation: What It Is, Why It Is Dangerous, and How to Protect Your Money
... Currency savings act as a "safe haven" during significant ruble devaluation.
Diversification of investments. Combining different types of assets (deposits, bonds, stocks, currencies, commodities, etc.) reduces risks: even if one part of the portfolio loses value due to inflation, other assets can offset those losses.
Conclusion: Why It Is Important to Account for Inflation in Financial Planning
Inflation is an inherent factor in modern economics, so it should be considered during long-term ...
Sanctions have begun to be lifted: what should Russian investors expect?
... 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 the portfolio. The lifting of sanctions may create short-term market volatility, so it is important to spread assets across different industries.
Bet on industry leaders. Pay attention to companies that were initially affected by sanctions, but still have ...
M&A Market Activity in Russia at Three-Year Low
... public-private partnership projects and partial redistributions of previously acquired foreign assets. The dynamic segments of the economy — IT, retail, and consumer sectors — may act as catalysts for activity. In 2025, investors will increasingly focus on portfolio diversification and long-term strategies, prioritizing preferred investment directions. Expected stabilization of rates and a softening of sanctions pressure could only partially revive the M&A market by the end of the year; however, the number ...