Found: 68

Wage Growth in Russia by 2028: Forecast and Investment Strategies

... purchasing power rises. Investment in property – whether buying an apartment to rent out or acquiring commercial property – can yield solid returns as consumers become wealthier. Beyond the traditional areas, investors might also consider other assets. With ... ... climate. Some individuals may hedge a potentially weaker ruble by buying foreign currency or gold. However, if the economic forecast for Russia holds true and inflation slows, ruble-denominated assets (stocks, bonds, real estate) should in general outperform ...

Where to Invest One Million Rubles: Medium-Term Investments

... stocks and global financial instruments (with currency hedging considerations). In any case, the key is to diversify among asset classes, currencies, and timeframes. Remember about tax incentives: IIAs and deductions of 13–15% can help increase net yields on bonds and funds. Be objective and measured: analyze forecasts for the key rate, inflation, and global trends. Keep a portion of funds in liquid ruble assets (deposits or OFZ for short terms) for unforeseen situations. The rest can be invested in higher-return but also more volatile instruments. Subscribe ...

Macroeconomic Events and Quarterly Reports of Major Companies on July 22, 2025: Reports from Coca-Cola, RTX, Equifax, SAP, UniCredit

... investors were cheered by Powell's comfortable tone and several strong pre-market reports (for instance, Coca-Cola exceeded profit forecasts). However, further movements in indexes (S&P 500, Nasdaq) will depend on the cascade of reports being released throughout ... ... profit-taking. Volatility may rise towards the end of the session when post-market reports and API data are released. Bonds: US Treasury yields today are sensitive to Powell's words. His caution led to a slight decline in yields on 10-year USTs – investors reduced ...

Thursday, December 12, 2024: Analysis of Key Events and Reports

... high seasonal energy demand. Monitor price fluctuations in natural gas futures. Currency Markets: The ECB’s decisions and U.S. inflation data will be key drivers of euro and dollar dynamics, influencing global currency strategies. Bond Markets: ECB forecasts and PPI data will impact bond yields in both Europe and the U.S., with implications for fixed-income investors. Consumer Sector: Corporate earnings from Costco and RH will provide insights into consumer behavior during the holiday season and broader retail trends. Key Corporate Reports ...

Goldman Sachs Forecast 2025: Investment Strategies and Challenges

... goods sectors. Emerging markets such as India are expected to yield better returns due to accelerated economic growth. 2. Bonds A steady demand for high-quality corporate bonds is expected. Conversely, government bonds may be less attractive due to low yields. The primary risks include inflation and geopolitical instability. 3. Commodities Prices for energy resources are forecasted to rise due to supply constraints. Interest in metals crucial for battery production, such as lithium and nickel, remains high. 4. Real Estate Investors are actively investing in commercial real estate in developing countries. Price increases ...