HOW INFLATION AFFECTS INVESTMENT STRATEGIES

Авторы

  • Ashraf Turdialiyev Автор
  • Shokhzod Khujamurotov Автор

Ключевые слова:

Key words: Inflation, Investment, Stagflation, Hyper inflation, bonds, financial markets, shares, purchasing power, interest rates, monetary policy.

Аннотация

Abstract: Inflation plays a critical role in shaping investment strategies, influencing both individual and institutional decision-making. This article examines the multifaceted effects of inflation on asset classes such as equities, bonds, real estate, and commodities. By exploring historical data and recent trends from periods of high inflation such as the 1970s and the post-pandemic era this study highlights how investors adjust their portfolios to preserve value and maintain returns. The analysis includes a review of inflation-hedging assets, the role of central bank policies, and behavioral responses in financial markets. The article also offers insights into contemporary strategies, such as sector rotation, investing in inflation-linked securities, and diversification in global markets. Ultimately, the paper provides the most essential terms and practical guidance for adapting investment approaches in an inflationary environment, emphasizing the importance of flexibility, risk management, and long-term planning.

Библиографические ссылки

1. When Money Dies: The Nightmare of the Weimar Hyper-inflation. Adam Fergusson

2. https://intelpoint.co/insights/inflation-rate-nigeria-ranked-9th-out-of-184-countries-and-territories-as-of-september-2024/

3. The Inflation Myth and the Wonderful World of Deflation. Mark Mobius

4. Bodie, Zvi, Kane, Alex, & Marcus, Alan J. (2018). Investments (11th ed.). McGraw-Hill Education.

5. Mishkin, Frederic S. (2019). The Economics of Money, Banking and Financial Markets (12th ed.). Pearson.

6. Arnott, Robert D., & Bernstein, Peter L. (2002). “What Risk Premium Is ‘Normal’?” Financial Analysts Journal, 58(2), 64–85.

7. International Monetary Fund (IMF). (2023). World Economic Outlook Reports. https://www.imf.org

8. U.S. Bureau of Labor Statistics. (2023). Consumer Price Index (CPI) Reports. https://www.bls.gov/cpi/

9. World Bank. (2023). Global Economic Prospects. https://www.worldbank.org

10. Bridgewater Associates. (2021). “Dealing with Inflation: A Strategic Perspective.”

11. Morningstar. (2022). “How Inflation Affects Stocks, Bonds, and Retirement Portfolios.”

12. Federal Reserve Bank of St. Louis. (2022). Economic Research – FRED Database. https://fred.stlouisfed.org

Опубликован

2025-05-08

Как цитировать

Ashraf Turdialiyev, & Shokhzod Khujamurotov. (2025). HOW INFLATION AFFECTS INVESTMENT STRATEGIES. World Scientific Research Journal, 39(1), 151-159. https://scientific-jl.com/wsrj/article/view/12396