Financial analysts monitor economic data, market reports, and factors affecting asset prices. Olivia works mainly with fundamental analysis, a method that evaluates actual economic and macroeconomic contexts. Her findings help investors understand why markets rise, fall, or stagnate.
Institutional ESG assets under management are estimated to increase to tens of trillions of dollars by the middle of this decade, which in itself attracts other investors, as everyone wants to be where the capital is flowing. For the average investor, this means that ESG assets make sense as part of a portfolio, not just as a "moral" choice.
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Expert materials and analyses by Olívia Lacenová
Po pandemických rokoch sa verejný dlh eurozóny počas prvého štvrťroka 2025 stabilizoval na úrovni približne 88 percent HDP...
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Po pandemických rokoch sa verejný dlh eurozóny počas prvého štvrťroka 2025 stabilizoval na úrovni približne 88 percent HDP...
2.4 MB
Po pandemických rokoch sa verejný dlh eurozóny počas prvého štvrťroka 2025 stabilizoval na úrovni približne 88 percent HDP...
2.4 MB
Rizikos įspėjimas: CFD yra sudėtingi instrumentai ir dėl sverto jie kelia didelę riziką greitai prarasti pinigus. 75.37% mažmeninių investuotojų sąskaitų praranda pinigus prekiaudami CFD su šiuo teikėju. Turėtumėte apsvarstyti, ar suprantate, kaip veikia CFD, ir ar galite sau leisti prisiimti didelę riziką prarasti savo pinigus.