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Record US National Debt Exceeds $36 Trillion: Threats and Prospects for Investors
... of Trump's new measures. For example, China, as one of the largest holders of US debt, may reconsider its policy if there is a risk of a sharp weakening of the dollar. This, in turn, could stimulate the growth of other currencies and strengthen the financial positions of emerging market countries, but it could also lead to increased instability in their domestic markets.
Global implications and strategies for investors
High US government debt and its potential further increase in light of Trump's new economic policies could change the balance of global economic flows. Investors are advised to consider a strategy of diversification of their assets ...
Secondary Public Offerings (SPO)
... company's business, the goals for raising funds, financial performance, and risks. Appendices are also prepared: audit reports, financial statements for several years, information on current shareholders, and plans for market entry.
Prospectus registration.... ... retail through major brokers). This is crucial for generating demand and assessing market interest. Companies discuss their strategies and answer investors’ questions. In international practice, such presentations are mandatory; in Russia, they may ...
High Interest Rates and Revoked Licenses: What Awaits the Russian Banking Sector?
... sector.
Risks for Depositors:
High deposit rates are attractive, but they may lead to weakened bank stability. Depositors should consider the potential risks associated with low-income banks that may not withstand a prolonged period of high liabilities.
Strategies for Investors
In the current situation, investors are advised to carefully assess the financial health of the banks they plan to invest in. The securities of major players, such as Sberbank, may remain stable and attractive to investors. Conversely, smaller banks may be at risk, necessitating a cautious approach to investments within this ...
How to conduct fundamental analysis?
... However, even this simplified example shows how the fundamental analysis approach helps to make a decision: having studied the financial indicators and factors, the investor was able to reasonably distinguish an undervalued security from others and invest ... ... bank will speak, or when the rate meeting will be held, and prepare for increased volatility at these times. Some short-term strategies are even based on trading during news. However, long-term investors in the currency market (for example, large hedge ...
Thanksgiving Day in the USA: history of the holiday, market closure and impact on global investors
... power of the population. Successful Black Friday sales can have a positive impact on the shares of retailers and e-commerce-related companies.
Thanksgiving is not only an important cultural holiday in the U.S., but also an event that impacts global financial markets. Investors should consider the closing of U.S. markets on this day and plan their trading strategies accordingly, taking into account possible changes in liquidity and volatility in global markets.