The Russian Federation’s Stock Market Index

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A country that is interesting to consider in terms of international indexes, both due to its unique position and easily explainable market tendencies is Russian Federation. Currently, the country faces severe sanctions from major economies around the world, and many businesses have refused to collaborate with it (Moody’s analytics, n.d.). In addition, there is a difficulty in using international currencies on its territory, as both USD and EUR international transactions are in jeopardy. Compared to the stock market index of such places as the US and China, as major economic superpowers, the difference can be clearly seen.

China is working on improving its values and expanding its influence, using a great number of assets at its disposal. A large amount of FDI’s in its economy, great potential for development, and the novelty of an emergent market all work to the nation’s advantage. The US, similarly, is an attractive investment and collaboration partner, which can be seen as both a trusted and secure option for many businesses. If ACME chooses to acquire a company in Russia, it is necessary to mitigate market risks, primarily by using the nation’s currency, securing transportation channels that are still working, and choosing a company that was capable of adapting to change. Due to an unstable economic situation around the world at the moment, many vital industries of the Russian economy have come under pressure. Therefore, acquiring a stable, well-standing, and uncontroversial business will be necessary for success. Another consideration is having a clear and smooth exit strategy, in the case that the international relations between Russia and ACME’s home country may worsen in the near future.

References

Moody’s Analytics. (n.d.).

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