Found: 340

Diversification of Risks when Investing in Securities

... financial institutions, and more. The key is that they must not respond identically to changes in the market or political and economic spheres. Funds should be optimally distributed across all investment instruments to avoid losses or minimize their likelihood.... ... significantly reduces the risk of identical factors influencing the stocks. It is unlikely that a crisis in one country would adversely impact the industry in another. Even if the prices of some stocks decline, others will likely gain value. This can help offset ...

Generation Y Radically Changes the Investment Sphere

... saves money on purchasing a vehicle, its maintenance, parking, etc. For a limited number of trips, this approach is far more economical. Renting instead of buying real estate. This principle smoothly leads to the second one. Why purchase property in one ... ... maximum fees are charged for minimal investments, and the larger the investment, the smaller the percentage fee. This negatively impacts the personal investment market. However, there is no need for despair. In the coming years, the situation is sure to improve....

Why IPO is a Trend for Russian Business and What to Expect in 2025

... stocks more attractive for large players. Deferred demand: Many companies postponed their IPOs in anticipation of stabilizing economic conditions. Increased interest from retail investors: The development of investment platforms, such as "Tinkoff ... ... sectors: In 2025, an increase in activity is expected in areas such as green energy, medical technologies, and logistics. The Impact on Investors and Traders IPOs open unique opportunities for investors but are also associated with certain risks. Opportunities: ...

Declining Bitcoin Dominance Amidst Rapid Growth of Ethereum and Altcoins

... portion of capital into promising projects (DeFi, AI, etc.). Reduced macroeconomic risks (inflation, geopolitics) and an improved economic backdrop enhance risk appetite, supporting market overheating. Behavioral factors (the “herding effect,” fear of ... ... hedging of positions. Diversifying the cryptocurrency portfolio (including the most resilient tokens) will help mitigate the impact of possible corrections. The key is to maintain a long-term horizon and avoid emotional decisions amid panic or euphoria....

VC.RU: How Businesses Can Avoid Relying on Loans During a Crisis

... million rubles. Financial stability over recent years. No negative credit history. Absence of ongoing lawsuits that could impact business operations. Positive assessment of the company’s investment attractiveness based on financial metrics like ... ... replace raw material exports with value-added products and boost import substitution in Russia, creating jobs and driving regional economic growth. How We Started Bond Trading We understood the process of entering the bond market would take time—typically ...