Падение на рынке - возможность или риск? Помогут ли ДИВИДЕНДЫ обойти индекс?
Learn more about ideas in the IF+ Subscription: https://investfuture.academy/IFplus?s... ------ The Russian market is once again experiencing a correction, stocks are falling, investors are nervous, and news only increases uncertainty. But it is precisely during periods like these that it is especially important to understand: is this a reason to exit the market or an opportunity to find high-quality assets at more attractive prices? In a new video on the InvestFuture channel, Kira Yukhtenko will compare the Moscow Exchange IMOEX index and the MCFTR total return index to demonstrate how significantly dividends and their reinvestment change an investor's overall return over the long term. We will examine why simple stock price movements do not always reflect the true investment results and why dividend payments have historically played a huge role in the Russian stock market. You'll learn how Russian stocks navigated crises, sanctions, high interest rates, currency volatility, asset freezes, and the withdrawal of non-residents—and why long-term investors should look beyond just drawdowns to consider businesses, cash flows, and dividend policies. This issue focuses on Russian dividend aristocrats and companies that have remained attractive to investors for years thanks to stable payouts. Using Lukoil shares, Sber preferred shares, and MTS shares as examples, we'll examine how investor returns might change with dividend reinvestment, why compound interest is so important for capital growth, and how dividend stocks differ from growth stories during market corrections. We'll also discuss how to choose dividend stocks on the Russian market: what financial metrics to consider, and why profit, free cash flow, debt burden, capital expenditures, and a clear business model are important. We'll also discuss why a high dividend yield alone doesn't make a stock a good investment and what pitfalls can lurk behind attractive payouts. This video is suitable for those investing in Russian stocks, building a long-term portfolio on the Moscow Exchange, interested in passive income, dividends, the Russian stock market, and wanting to better understand how to behave during a market downturn. You'll get answers to questions such as: is it worth considering stocks during a correction? Why the IMOEX index may provide an incomplete picture of the market? How is the MCFTR useful for investors? How important are dividends in overall returns? How does dividend reinvestment work? What are the risks associated with dividend aristocrats? *The information provided in the video and text does not constitute individual investment advice! Before purchasing any assets, independently assess the risks and make decisions based on your strategy. ------ Timecodes 00:00 What's this episode about? 01:15 Moscow Exchange Index / IMOEX vs MCFTR / Dividend Reinvestment / MOEX Index Yield 03:31 The 2008 Crisis / Oil Prices / History of the Russian Stock Market 06:18 How the IMOEX Index is Formed / Index Composition / Dependence on Market Conditions 07:21 Company Examples 09:32 Lukoil / How the Business Makes Money / Lukoil Dividends 13:05 Sberbank / Dividend History 14:27 MTS / Share Price Dynamics / Telecom / Dividend Yield 15:54 How to Choose a Value Stock / Who Pays Dividends / Who is a Dividend Aristocrat / Criteria for a Good Business / Dividend Policy 19:19 Technical Analysis / When to Buy a Stock / Risks in Dividends Companies Advertising. 18+. Advertiser: Invest Portal LLC. Taxpayer Identification Number: 7801558015. ERID: 2SDnjcLvtRQ ------- 🟣Follow us on VK: https://investfuture.academy/link?to=vk 🟣Follow us on Max: https://investfuture.academy/link?to=max 🟣Kira Yukhtenko's Channel: https://investfuture.academy/link?to=... 🟣Advertising on the channel: https://edu.investfuture.club/kontacts 🟣Other questions: [email protected]

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