What are you looking for:
Trump's Wealth Increased by $1.4 Billion After Election Victory: What It Means for Investors
... exercise caution, especially if they are interested in long-term growth. Investments in companies where valuations are closely tied to political events may struggle during economic instability, necessitating additional measures for diversification and risk management.
Opinion of Sergey Teryoshkin, Founder of
Open Oil Market
"Donald Trump's election victory and the subsequent growth of his wealth serve as a clear example of how politics impacts the market. For investors, shares of Trump Media may be ...
Economic News: Sunday, July 27, 2025 – US and EU Close to a Trade Agreement, Markets Await Signals from the Fed
... individual internal circumstances. In the longer term, the dynamics of emerging market currencies will depend on investors' risk appetite and decisions from leading central banks.
Russia: Rate Cut Effect and Corporate Signals
For the Russian financial ... ... company blames the deteriorating conditions primarily on high credit rates, which hindered investment and demand in the economy: management estimates that due to the high cost of borrowing, consumption of metal products in Russia fell by ~15% in the first ...
The market is experiencing significant changes that will lead to global growth - Gracy Chen, CEO of Bitget.
... manipulations: The first months of 2025 saw major scandals, including a $1.5 billion exchange hack and liquidity schemes (Jelly, OM), causing significant losses for investors. These incidents emphasized the importance of reliable reserves, transparency, and risk management in the crypto market.
Tips for the downturn: To survive the bear market with minimal losses, Chen recommends revisiting investment approaches. She advises keeping funds in protective assets (stablecoins, tokenized gold, reliable bonds) and ...
Bonds for Investors: How to Earn with Minimal Risks
... During a technical default, the prices of bonds can significantly drop as the market anticipates the outcome. If the issuer manages to settle the debt within the grace period, the price usually returns to previous levels, and an actual default does not ... ... and Stocks” — an article for conservative investors explaining how bonds differ from bank deposits and stocks in terms of risks and returns.
“How to Choose a Broker for Buying Bonds” — an overview of major trading platforms and brokerage applications,...
Tether (USDT) Cryptocurrency Price Prediction and Analysis for May 2025
... expected without significant changes. Nevertheless, investors should remain vigilant: continue to monitor Tether's reserve reports, regulatory news, and competitor activities, as well as the general market situation. USDT has proven its resilience, but risk management discipline advises against relying blindly even on a seemingly "iron" stablecoin. Diversifying among several stablecoins or regularly checking the feasibility of converting USDT to fiat are reasonable precautionary measures.
In conclusion,...