Political risk has become a dominant market driver – Standard Chartered
07.10.2019, 11:31

Political risk has become a dominant market driver – Standard Chartered

Philippe Dauba-Pantanacce, the senior economist at Standard Chartered, suggests that political risk has become a dominant market driver as it spreads across multiple geographical and political contexts.

  • “Whereas political risk was traditionally confined mostly to frontier- or emerging-market analysis, it is now a factor in assessing all types of markets, including developed ones. This phenomenon has been evident since the GFC and has gained further momentum in recent years.
  • Political risk, which often has economic repercussions, manifests itself in various forms; popular protests are one of the most common. This year’s Hong Kong protests are emblematic of the increasing power and impact of protest movements across the globe – they took many by surprise and have led to policy change, economic repercussions, and market volatility.
  • Protests have increased in frequency and power in recent years, bringing about regime change (for example, Tunisia in 2011) or economic policy changes (France’s ‘yellow vests’ in 2018-19); in the case of Syria in 2011-12, they presaged armed conflict.”

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Politika sprečavanja pranja novca

Upozorenje o rizicima

Izvršenje trgovinskih operacija sa finansijskim instrumentima upotrebom marginalne trgovine pruža velike mogućnosti i omogućava investitorima ostvarivanje visokih prihoda. Međutim, takav vid trgovine povezan je sa potencijalno visokim nivoom rizika od gubitka sredstava. Проведение торговых операций на финанcовых рынках c маржинальными финанcовыми инcтрументами открывает широкие возможноcти, и позволяет инвеcторам, готовым пойти на риcк, получать выcокую прибыль, но при этом неcет в cебе потенциально выcокий уровень риcка получения убытков. Iz tog razloga je pre započinjanja trgovine potrebno odlučiti o izboru odgovarajuće investicione strategije, uzimajući u obzir raspoložive resurse.

Politika poverenja

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