Capital Markets Reboot
14.99 €
In stock
In his new book, Capital Markets. Reboot, Anton Malkov presents a detailed analysis of the events that have reshaped the landscape of the Russian stock market since February 2022.
The head of capital markets at T-Bank examines in detail the process of dismantling foreign structures on the stock market. He shows how long this process took and what changes in regulation and business practices it required.
Anton Malkov pays significant attention to changes in regulation and the consequences of these changes for the market infrastructure, such as the dismantling of foreign structures and the creation of a replacement bond market. He also deeply analyzes the IPO and SPO market for 2022–2024, the Eurobond market, and alternative instruments for adapting to the collapsed opportunities of this market.
The author examines new opportunities and increased risks created by changes in the market, focusing on assets with potentially high returns.
The book presents real, live cases of such companies as Yandex, VK, IKS5, T-Technologies, and many others that have gone through the crucible of instability in the stock market and used various corporate restructuring structures (redomiciliation, forced redomiciliation, exchange, etc.). The author shares not only successful decisions, but also analyzes mistakes. Analyzing the sequence of steps that led to them, he shows which stages were key and when exactly it was necessary to make a decision (even in conditions of insufficient information) in order to minimize risks and negative consequences. Observations made on the horizon of 2022-2024 form the methodological basis necessary for any investor to successfully act in the market during times of instability.
The head of capital markets at T-Bank examines in detail the process of dismantling foreign structures on the stock market. He shows how long this process took and what changes in regulation and business practices it required.
Anton Malkov pays significant attention to changes in regulation and the consequences of these changes for the market infrastructure, such as the dismantling of foreign structures and the creation of a replacement bond market. He also deeply analyzes the IPO and SPO market for 2022–2024, the Eurobond market, and alternative instruments for adapting to the collapsed opportunities of this market.
The author examines new opportunities and increased risks created by changes in the market, focusing on assets with potentially high returns.
The book presents real, live cases of such companies as Yandex, VK, IKS5, T-Technologies, and many others that have gone through the crucible of instability in the stock market and used various corporate restructuring structures (redomiciliation, forced redomiciliation, exchange, etc.). The author shares not only successful decisions, but also analyzes mistakes. Analyzing the sequence of steps that led to them, he shows which stages were key and when exactly it was necessary to make a decision (even in conditions of insufficient information) in order to minimize risks and negative consequences. Observations made on the horizon of 2022-2024 form the methodological basis necessary for any investor to successfully act in the market during times of instability.
See also:
- All books by the publisher
- All books by the author
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