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Pre-IPO Market: Features, Stages, Risks, and Strategy
... of external auditors, listing conditions, and a realistic timeline for preparations. If the IPO is postponed, inquire about alternative exit strategies (sale to a strategic investor, merger deal, or placing a stake on the secondary market for private ... ...
Macroeconomic and industry factors. Assess how the economic situation and industry trends impact the company: how it will be affected by currency fluctuations, interest rates, and demand for its products. In the current environment of high rates and instability, ...
How to Choose Investment Assets in an Unstable Market
... investors operating in international markets, this scenario can create both risks and opportunities, such as hedging against currency risks.
Political and geopolitical situations. Political events, such as elections, trade wars, or sanctions, can affect ... ... have significant price fluctuations but can also present opportunities for speculative investments in times of high volatility.
Alternative Investments
In an unstable market, investors may consider alternative assets that have low correlation with traditional ...
U.S. Debt Reaches a Record $36 Trillion: Implications for the Economy and Investors
... them to diversify their holdings.
China, as one of the largest holders of U.S. debt, could also shift its policy if the dollar weakens, potentially triggering broader financial adjustments in global markets. The situation might stimulate demand for alternative currencies like the euro, but it could also lead to increased market volatility in emerging economies reliant on stable dollar reserves.
Global Consequences and Investment Strategies
The expanding U.S. debt may reshape global capital flows, underscoring ...
New Trump Tariffs: Impact on the Global Economy and Prospects for Investors
... goods flows may create new opportunities for Russian producers.
The rise in international market prices will increase demand for alternative supply sources from Russia and the CIS.
Opportunity to strengthen trade ties with countries adversely affected by ... ... companies closely tied to exports to the U.S.
Strengthening of assets viewed as safe havens by investors (gold, bonds, safe-haven currencies).
Increased volatility in stock markets and currency trading.
How will Investment Strategies Change?
Investors should ...
Europe may completely lose Russian gas.
... deliveries.
In 2022, a presidential decree shifted payment for Russian gas from "unfriendly" countries to rubles. Payments can only occur through one scheme: European buyers transfer funds in euros or dollars to Gazprombank, which converts the currency to rubles and transfers the amount to Gazprom. There is no alternative payment method.
Russian LNG, which has made Russia the second-largest supplier to the EU in recent months, is also at risk. The EU is drafting its 15th sanctions package, potentially including a ban on Russian LNG.
Pipeline Threats
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