Found: 339

Investment Customization

... lack of options. Today, tools for assessing companies through an ESG lens have become more sophisticated, facilitating their application. Structured notes and similar products enable investors to set parameters for their assets, determining potential returns and loss protection. There are substantial growth prospects in this area, spurred by technological advancements.

A Reliable Haven for Investors

... the most stable, resilient, and liquid assets for preserving savings. What makes blue-chip stocks attractive to investors? These companies are appealing due to their reliable long-term growth. Thanks to their financial stability, they often provide returns even during recessions. As they typically represent well-known brands with national or international reputations, they are viewed as safer investments—offering products that maintain stable demand among a large number of consumers, enabling ...

Technical Analysis in Trading: How to Read Charts and What Do the Figures Mean

... candlestick pattern. The “doji” candle has an extremely small body (the opening and closing prices are almost equal), but can have long shadows above and below. Such a chart means uncertainty: the strength of buyers and sellers is equal, the price has returned to where it started over the period. Doji often appears before a trend change. For example, after a long rally, a series of doji candles may indicate that the upward momentum has dried up and a downward reversal is likely. Similarly, at the bottom ...

Actively Managed or Passively Managed Funds?

Can one choose an actively managed fund based on its performance? Actively managed funds aim to outperform the market averages. Through "active management," they seek to hold assets that yield above-average returns in the short term, thereby beating the market, specifically exceeding the performance of indices such as the S&P 500. It is important to remember that active management comes at a higher cost, which also increases the risk of underperformance....

The stocks of Russian oil and gas proved to be more resilient

... representatives in the sector have managed to navigate this period commendably. In a recently published report by Boston Consulting Group (BCG), Lukoil, Gazprom, Tatneft, Novatek, and Surgutneftegas were among the top ten companies delivering the highest returns to shareholders, with Finnish company Neste leading the pack. At the same time, S&P's ratings have revised the investment outlooks for major global oil and gas companies like Total, Exxon, and Shell downwards, while Rosneft has maintained a stable ...