This content is from: Portfolio This Manager Sees Opportunities in Eastern Europe—Even in Russia and Ukraine Kopernik Global Investors believes that commodity-related stocks in the region can withstand inflationary pressures. By Hannah Zhang July 01, 2022
This content is from: Portfolio These Sovereign Bonds Are Even Riskier Than Russia’s The war in Ukraine made Russian securities untouchable — but other countries are still worse. By Jessica Hamlin June 09, 2022
This content is from: Portfolio PineBridge: Downgrades of Emerging Market Bonds Are Rarely Contagious The distressed bond markets in Russia and China’s property sector don’t imply a dark future for emerging market debt as a whole. By Hannah Zhang June 07, 2022
This content is from: Video What the Russian Oil Embargo Means for Investors Look for rising oil prices through 2023 – potentially exceeding $140 per barrel – according to BCA Research’s Bob Ryan. By Staff June 03, 2022
This content is from: Video What Russia’s Invasion of Ukraine Has Taught China Plus, how Roe v. Wade decision could impact midterm elections, according to BCA Research’s Matt Gertken. By Staff May 12, 2022
This content is from: Portfolio Here’s a Snapshot of Equity Hedge Funds’ Exposure to Russia Funds don’t have to have “Russia” in their name to have a significant amount of sensitivity to stocks in the country, according to MPI. By Julie Segal April 08, 2022