Risks of Traders on the World Stock Market on the Example of Ukraine

Author:

Abuselidze George,Mohylevska Olga,Merezhko Nina,Reznik Nadiia,Slobodianyk Anna

Abstract

The article reveals the essence and features of the development of the stock market in Ukraine. It was established that the vigorous activity of countries in the world financial markets means that they also face a risk of global financial turmoil (the so-called “domino effect”). It is determined that the impact of global financial instability on the country depends on the openness of its economy that will lead to significant external “shocks”. The possibility of providing effective influence on domestic stock market activity with taking into account the changing world situation, development of perfect trading strategies for each participant is substantiated. The conducted analysis of the world market conditions of stock markets in recent years has made it possible to assess the real risks for new participants in the stock market and become the basis for the development of an appropriate effective trading strategy. The practical significance of the results is that they allow for a measurable approach to assessing the existing risk when choosing one or another trading strategy to move to the world stock market.

Publisher

EDP Sciences

Reference10 articles.

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3. Kenneth Grant L.. Trading Risk: Enhanced Profitability Through Risk Control. New Jersey, NJ: John Wiley & Sons, (2014)

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