Abstract

The article discusses the problems and features of the Russian stock market. The long-term dynamics and recent changes in the period after the sanctions implementation are analyzed. Special attention is paid to new market conditions and their impact on trading strategies used by participants of the Russian stock market. The study highlights the key problems faced by traders and investors in the new realities of the Russian stock market. The author examines the problems of liquidity reduction and market volatility increase; he assesses their impact on the market prospects and its participants. Conclusions are given about the presence and/or lack of effectiveness of using various approaches to investing and applying trading strategies. In the final part of the study, conclusions are drawn about the prospects of the Russian stock market, recommendations for adapting trading strategies to its new conditions are given.

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