Regaining all losses since the conflict, where does the resilience of the Russian stock market come from?

Wallstreetcn
2024.07.23 02:16
portai
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The Russian stock market has shown resilience amid Western sanctions. Possible reasons include diversification of energy export markets, encouraging local production through import substitution, reducing reliance on the Western financial system, and stabilizing the financial market through monetary policy and capital controls. The Russian economy is expected to achieve a real GDP growth rate of 3.2% by 2024, higher than major developed economies in Europe and America. The Russian stock market has recovered to pre-Ukraine conflict levels, with most industry indices experiencing growth. Investment activities are strong, government spending is increasing, consumer demand is rising, oil exports are stable, supporting economic growth