22.03.2026

Global Chaos and Diversification

 

The events unfolding around us over the past year, and especially over the last three months, point to a complete breakdown of global legal frameworks, and to a large extent, global economic and trade relations. Predicting, foreseeing, or "catching" further movements in indices is only possible by random chance. There is only one systematic strategy that works under such conditions: diversification across asset classes. We have chosen to illustrate the performance of a conservative Deposit+ portfolio compared to the S&P 500 index, which perfectly demonstrates this point. In any crisis situation, there is always one asset class that performs better than the others. Today, that is the commodities market. It is the commodity ETF that preserves the portfolio's value while equity markets have completely lost their bearings. This situation could change very quickly, but the IskraIndex portfolios, thanks to their unique composition's approach, will be prepared for it.

 

 

 


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